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"document": "new_type_trial_balance_019.pdf", + "labels": [ + { + "text": "Brown Group", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 163.31966325000002, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $110,242.81", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.58460525, + 152.40670650000004 + ] + }, + { + "text": "Trade Receivables $71,885.39", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Merchandise Inventory $90,749.38", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.5734077499999, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $374,841.49", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Trade Payables $64,082.59", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Borrowings $177,751.08", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Share Capital $340,605.31", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Sales Revenue $225,855.41", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Personnel Costs $109,011.07", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.58460525, + 306.25045650000004 + ] + }, + { + "text": "Operating Expenses $37,781.06", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Adjusted Account Total $1,602,805.59", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/032/032.json b/new_type_trial_balance/032/032.json new file mode 100644 index 0000000000000000000000000000000000000000..2a53042715a290a31a93509b2bf1c2161efdefb9 --- /dev/null +++ b/new_type_trial_balance/032/032.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_032.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Reynolds Ltd", + "bbox_px": [ + 187.02, + 170.53, + 464.7, + 218.02 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $78,218.16", + "bbox_px": [ + 184.31, + 385.41, + 1489.81, + 432.26 + ] + }, + { + "text": "Receivables $35,016.94", + "bbox_px": [ + 183.58, + 438.83, + 1489.08, + 485.67 + ] + }, + { + "text": "Merchandise Inventory $119,265.52", + "bbox_px": [ + 182.86, + 492.24, + 1488.39, + 539.08 + ] + }, + { + "text": "Fixed Assets $427,610.16", + "bbox_px": [ + 182.14, + 545.65, + 1487.63, + 592.5 + ] + }, + { + "text": "Trade Payables $35,130.50", + "bbox_px": [ + 181.41, + 599.07, + 1486.91, + 645.91 + ] + }, + { + "text": "Borrowings $249,224.56", + "bbox_px": [ + 180.69, + 652.48, + 1486.18, + 699.32 + ] + }, + { + "text": "Share Capital $209,985.32", + "bbox_px": [ + 179.97, + 705.89, + 1485.46, + 752.74 + ] + }, + { + "text": "Sales Revenue $362,953.50", + "bbox_px": [ + 179.24, + 759.3, + 1484.74, + 806.15 + ] + }, + { + "text": "Compensation Expense $64,254.93", + "bbox_px": [ + 178.52, + 812.72, + 1484.02, + 859.56 + ] + }, + { + "text": "Lease and Utility Costs $37,001.71", + "bbox_px": [ + 177.8, + 866.13, + 1483.29, + 912.97 + ] + }, + { + "text": "Final Adjusted Total $1,618,661.30", + "bbox_px": [ + 260.37, + 922.76, + 1482.54, + 968.47 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/032/032.pdf b/new_type_trial_balance/032/032.pdf new file mode 100644 index 0000000000000000000000000000000000000000..f89e6fc1dc5c07b22b6f24f41fc16df23da3bd39 Binary files /dev/null and b/new_type_trial_balance/032/032.pdf differ diff --git a/new_type_trial_balance/032/032.xlsx b/new_type_trial_balance/032/032.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..95b2e9c64fd4accb622a32e2c426ab3f60176d00 Binary files /dev/null and b/new_type_trial_balance/032/032.xlsx differ diff --git a/new_type_trial_balance/032/032_dirty_1.json b/new_type_trial_balance/032/032_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..3fdf3f84d7cc27e6f5f9aaf5b0e63ac912a89acb --- /dev/null +++ b/new_type_trial_balance/032/032_dirty_1.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_032_dirty_1.png", + "labels": [ + { + "text": "Reynolds Ltd", + "bbox": [ + 182, + 177, + 459, + 223 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $78,218.16", + "bbox": [ + 180, + 400, + 1485, + 440 + ] + }, + { + "text": "Receivables $35,016.94", + "bbox": [ + 180, + 453, + 1485, + 493 + ] + }, + { + "text": "Merchandise Inventory $119,265.52", + "bbox": [ + 179, + 507, + 1485, + 547 + ] + }, + { + "text": "Fixed Assets $427,610.16", + "bbox": [ + 179, + 560, + 1484, + 600 + ] + }, + { + "text": "Trade Payables $35,130.50", + "bbox": [ + 178, + 613, + 1484, + 654 + ] + }, + { + "text": "Borrowings $249,224.56", + "bbox": [ + 178, + 667, + 1483, + 707 + ] + }, + { + "text": "Share Capital $209,985.32", + "bbox": [ + 177, + 720, + 1483, + 760 + ] + }, + { + "text": "Sales Revenue $362,953.50", + "bbox": [ + 177, + 774, + 1482, + 814 + ] + }, + { + "text": "Compensation Expense $64,254.93", + "bbox": [ + 176, + 827, + 1482, + 867 + ] + }, + { + "text": "Lease and Utility Costs $37,001.71", + "bbox": [ + 176, + 881, + 1481, + 921 + ] + }, + { + "text": "Final Adjusted Total $1,618,661.30", + "bbox": [ + 258, + 936, + 1481, + 976 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/032/032_dirty_2.json b/new_type_trial_balance/032/032_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..a87652b8d01dc614e48b6d5243bb6cfc6239c636 --- /dev/null +++ b/new_type_trial_balance/032/032_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_032_dirty_2.png", + "labels": [ + { + "text": "Reynolds Ltd", + "bbox": [ + 173, + 174, + 450, + 218 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $78,218.16", + "bbox": [ + 173, + 379, + 1478, + 409 + ] + }, + { + "text": "Receivables $35,016.94", + "bbox": [ + 173, + 432, + 1478, + 462 + ] + }, + { + "text": "Merchandise Inventory $119,265.52", + "bbox": [ + 173, + 486, + 1478, + 516 + ] + }, + { + "text": "Fixed Assets $427,610.16", + "bbox": [ + 173, + 539, + 1478, + 569 + ] + }, + { + "text": "Trade Payables $35,130.50", + "bbox": [ + 173, + 592, + 1478, + 623 + ] + }, + { + "text": "Borrowings $249,224.56", + "bbox": [ + 173, + 646, + 1478, + 676 + ] + }, + { + "text": "Share Capital $209,985.32", + "bbox": [ + 173, + 699, + 1478, + 729 + ] + }, + { + "text": "Sales Revenue $362,953.50", + "bbox": [ + 173, + 753, + 1478, + 783 + ] + }, + { + "text": "Compensation Expense $64,254.93", + "bbox": [ + 173, + 806, + 1478, + 836 + ] + }, + { + "text": "Lease and Utility Costs $37,001.71", + "bbox": [ + 173, + 860, + 1478, + 890 + ] + }, + { + "text": "Final Adjusted Total $1,618,661.30", + "bbox": [ + 256, + 915, + 1478, + 945 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/032/032_dirty_3.json b/new_type_trial_balance/032/032_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..0d9579e48a859af65ab6684676ada973eeb37720 --- /dev/null +++ b/new_type_trial_balance/032/032_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_032_dirty_3.png", + "labels": [ + { + "text": "Reynolds Ltd", + "bbox": [ + 178, + 171, + 455, + 217 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $78,218.16", + "bbox": [ + 177, + 379, + 1482, + 415 + ] + }, + { + "text": "Receivables $35,016.94", + "bbox": [ + 177, + 432, + 1482, + 468 + ] + }, + { + "text": "Merchandise Inventory $119,265.52", + "bbox": [ + 177, + 486, + 1482, + 522 + ] + }, + { + "text": "Fixed Assets $427,610.16", + "bbox": [ + 176, + 539, + 1481, + 575 + ] + }, + { + "text": "Trade Payables $35,130.50", + "bbox": [ + 176, + 592, + 1481, + 629 + ] + }, + { + "text": "Borrowings $249,224.56", + "bbox": [ + 176, + 646, + 1481, + 682 + ] + }, + { + "text": "Share Capital $209,985.32", + "bbox": [ + 176, + 699, + 1481, + 735 + ] + }, + { + "text": "Sales Revenue $362,953.50", + "bbox": [ + 175, + 753, + 1480, + 789 + ] + }, + { + "text": "Compensation Expense $64,254.93", + "bbox": [ + 175, + 806, + 1480, + 842 + ] + }, + { + "text": "Lease and Utility Costs $37,001.71", + "bbox": [ + 175, + 860, + 1480, + 896 + ] + }, + { + "text": "Final Adjusted Total $1,618,661.30", + "bbox": [ + 258, + 916, + 1480, + 951 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/032/032_dirty_4.json b/new_type_trial_balance/032/032_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..83e611e23930f702648b48f1477569f0b09ff5b6 --- /dev/null +++ b/new_type_trial_balance/032/032_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_032_dirty_4.png", + "labels": [ + { + "text": "Reynolds Ltd", + "bbox": [ + 167, + 186, + 444, + 232 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $78,218.16", + "bbox": [ + 168, + 406, + 1473, + 444 + ] + }, + { + "text": "Receivables $35,016.94", + "bbox": [ + 168, + 459, + 1474, + 497 + ] + }, + { + "text": "Merchandise Inventory $119,265.52", + "bbox": [ + 169, + 513, + 1474, + 551 + ] + }, + { + "text": "Fixed Assets $427,610.16", + "bbox": [ + 169, + 566, + 1474, + 604 + ] + }, + { + "text": "Trade Payables $35,130.50", + "bbox": [ + 170, + 619, + 1475, + 658 + ] + }, + { + "text": "Borrowings $249,224.56", + "bbox": [ + 170, + 673, + 1475, + 711 + ] + }, + { + "text": "Share Capital $209,985.32", + "bbox": [ + 170, + 726, + 1475, + 764 + ] + }, + { + "text": "Sales Revenue $362,953.50", + "bbox": [ + 171, + 780, + 1476, + 818 + ] + }, + { + "text": "Compensation Expense $64,254.93", + "bbox": [ + 171, + 833, + 1476, + 871 + ] + }, + { + "text": "Lease and Utility Costs $37,001.71", + "bbox": [ + 171, + 887, + 1477, + 925 + ] + }, + { + "text": "Final Adjusted Total $1,618,661.30", + "bbox": [ + 255, + 942, + 1477, + 979 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/032/032_dirty_5.json b/new_type_trial_balance/032/032_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..fb2a115edf70c508c3975f4824b58addef6e5463 --- /dev/null +++ b/new_type_trial_balance/032/032_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_032_dirty_5.png", + "labels": [ + { + "text": "Reynolds Ltd", + "bbox": [ + 173, + 181, + 450, + 225 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $78,218.16", + "bbox": [ + 173, + 393, + 1478, + 423 + ] + }, + { + "text": "Receivables $35,016.94", + "bbox": [ + 173, + 446, + 1478, + 476 + ] + }, + { + "text": "Merchandise Inventory $119,265.52", + "bbox": [ + 173, + 500, + 1478, + 530 + ] + }, + { + "text": "Fixed Assets $427,610.16", + "bbox": [ + 173, + 553, + 1478, + 583 + ] + }, + { + "text": "Trade Payables $35,130.50", + "bbox": [ + 173, + 606, + 1478, + 637 + ] + }, + { + "text": "Borrowings $249,224.56", + "bbox": [ + 173, + 660, + 1478, + 690 + ] + }, + { + "text": "Share Capital $209,985.32", + "bbox": [ + 173, + 713, + 1478, + 743 + ] + }, + { + "text": "Sales Revenue $362,953.50", + "bbox": [ + 173, + 767, + 1478, + 797 + ] + }, + { + "text": "Compensation Expense $64,254.93", + "bbox": [ + 173, + 820, + 1478, + 850 + ] + }, + { + "text": "Lease and Utility Costs $37,001.71", + "bbox": [ + 173, + 874, + 1478, + 904 + ] + }, + { + "text": "Final Adjusted Total $1,618,661.30", + "bbox": [ + 256, + 929, + 1478, + 959 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/032/032_pdf.json b/new_type_trial_balance/032/032_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..18ddb6664b3e82a2f0ba93f936e4da460aa8e12e --- /dev/null +++ b/new_type_trial_balance/032/032_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_032.pdf", + "labels": [ + { + "text": "Reynolds Ltd", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 162.45341324999998, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $78,218.16", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.5734077499999, + 152.40670650000004 + ] + }, + { + "text": "Receivables $35,016.94", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Merchandise Inventory $119,265.52", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.58460525, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $427,610.16", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Trade Payables $35,130.50", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Borrowings $249,224.56", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Share Capital $209,985.32", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Sales Revenue $362,953.50", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Compensation Expense $64,254.93", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.5734077499999, + 306.25045650000004 + ] + }, + { + "text": "Lease and Utility Costs $37,001.71", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Final Adjusted Total $1,618,661.30", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/034/034.png b/new_type_trial_balance/034/034.png new file mode 100644 index 0000000000000000000000000000000000000000..2133be92bd5790508753b461af3878c5fc1986f7 --- /dev/null +++ b/new_type_trial_balance/034/034.png @@ -0,0 +1,3 @@ +version https://git-lfs.github.com/spec/v1 +oid sha256:2fcb773601b643df3a85d388674725f51e865855fab6df3bff3c75002829a92a +size 5681182 diff --git a/new_type_trial_balance/034/034_dirty_2.png b/new_type_trial_balance/034/034_dirty_2.png new file mode 100644 index 0000000000000000000000000000000000000000..0837c1e7c466a58eb987cc3ca81c2e609d0bb37d --- /dev/null +++ b/new_type_trial_balance/034/034_dirty_2.png @@ -0,0 +1,3 @@ +version https://git-lfs.github.com/spec/v1 +oid sha256:3cb858a887ea96a2323acb92ab6cc0fc29a231b20026d1de9d6994a85809e30a +size 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at end of file diff --git a/new_type_trial_balance/056/056_pdf.json b/new_type_trial_balance/056/056_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..746fcb380e5ce50dd0abed712bdcba9778c6aee2 --- /dev/null +++ b/new_type_trial_balance/056/056_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_056.pdf", + "labels": [ + { + "text": "Monroe, Holmes and Evans", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 268.37216325, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $51,671.89", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.5734077499999, + 152.40670650000004 + ] + }, + { + "text": "Receivables $46,010.12", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock on Hand $84,924.46", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.5734077499999, + 190.86764400000004 + ] + }, + { + "text": 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325.48092525000004 + ] + }, + { + "text": "Net Adjusted Balance $1,635,016.68", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/068/068.json b/new_type_trial_balance/068/068.json new file mode 100644 index 0000000000000000000000000000000000000000..f36487e1939152f0e609a2f0cae14574c798a296 --- /dev/null +++ b/new_type_trial_balance/068/068.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_068.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Salinas-Cooper", + "bbox_px": [ + 192.51, + 166.87, + 514.2, + 216.8 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $73,316.57", + "bbox_px": [ + 188.65, + 381.74, + 1494.19, + 436.07 + ] + }, + { + "text": "Receivables $70,996.72", + "bbox_px": [ + 187.62, + 435.15, + 1493.16, + 489.48 + ] + }, + { + "text": "Stock on Hand $81,941.40", + "bbox_px": [ + 186.59, + 488.55, + 1492.13, + 542.89 + ] + }, + { + "text": "Fixed Assets $470,238.11", + "bbox_px": [ + 185.56, + 541.96, + 1491.1, + 596.3 + ] + }, + { + "text": "Payables $65,856.66", + "bbox_px": [ + 184.53, + 595.37, + 1490.07, + 649.71 + ] + }, + { + "text": "Debt Instruments $168,339.31", + "bbox_px": [ + 183.5, + 648.78, + 1489.04, + 703.11 + ] + }, + { + "text": "Ordinary Shares $150,646.41", + "bbox_px": [ + 182.47, + 702.19, + 1488.01, + 756.52 + ] + }, + { + "text": "Income $598,475.63", + "bbox_px": [ + 181.44, + 755.59, + 1486.98, + 809.93 + ] + }, + { + "text": "Compensation Expense $135,388.42", + "bbox_px": [ + 180.41, + 809.0, + 1485.95, + 863.34 + ] + }, + { + "text": "Lease and Service Charges $35,775.39", + "bbox_px": [ + 179.38, + 862.41, + 1484.92, + 916.75 + ] + }, + { + "text": "Final Adjusted Total $1,850,974.62", + "bbox_px": [ + 261.62, + 919.51, + 1483.85, + 972.24 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/068/068.pdf 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+} \ No newline at end of file diff --git a/new_type_trial_balance/068/068_dirty_2.json b/new_type_trial_balance/068/068_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..3e6781282c145863fc944ceef28479423519d292 --- /dev/null +++ b/new_type_trial_balance/068/068_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_068_dirty_2.png", + "labels": [ + { + "text": "Salinas-Cooper", + "bbox": [ + 180, + 175, + 501, + 221 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $73,316.57", + "bbox": [ + 179, + 389, + 1484, + 427 + ] + }, + { + "text": "Receivables $70,996.72", + "bbox": [ + 178, + 442, + 1483, + 480 + ] + }, + { + "text": "Stock on Hand $81,941.40", + "bbox": [ + 178, + 496, + 1483, + 534 + ] + }, + { + "text": "Fixed Assets $470,238.11", + "bbox": [ + 177, + 549, + 1483, + 587 + ] + }, + { + "text": "Payables $65,856.66", + "bbox": [ + 177, + 602, + 1482, + 641 + ] + }, + { + "text": "Debt Instruments $168,339.31", 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215 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $73,316.57", + "bbox": [ + 184, + 377, + 1489, + 425 + ] + }, + { + "text": "Receivables $70,996.72", + "bbox": [ + 183, + 430, + 1489, + 478 + ] + }, + { + "text": "Stock on Hand $81,941.40", + "bbox": [ + 183, + 484, + 1488, + 532 + ] + }, + { + "text": "Fixed Assets $470,238.11", + "bbox": [ + 182, + 537, + 1487, + 585 + ] + }, + { + "text": "Payables $65,856.66", + "bbox": [ + 181, + 590, + 1486, + 639 + ] + }, + { + "text": "Debt Instruments $168,339.31", + "bbox": [ + 180, + 644, + 1486, + 692 + ] + }, + { + "text": "Ordinary Shares $150,646.41", + "bbox": [ + 180, + 697, + 1485, + 745 + ] + }, + { + "text": "Income $598,475.63", + "bbox": [ + 179, + 751, + 1484, + 799 + ] + }, + { + "text": "Compensation Expense $135,388.42", + "bbox": [ + 178, + 804, + 1483, + 852 + ] + }, + { + "text": "Lease and Service Charges $35,775.39", + "bbox": [ + 177, + 858, + 1483, + 906 + ] + }, + { + "text": "Final Adjusted Total $1,850,974.62", + "bbox": [ + 260, + 914, + 1482, + 961 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/068/068_dirty_4.json b/new_type_trial_balance/068/068_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..f6eab18f9a779cecf9dfac18ff3558947f6d7681 --- /dev/null +++ b/new_type_trial_balance/068/068_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_068_dirty_4.png", + "labels": [ + { + "text": "Salinas-Cooper", + "bbox": [ + 181, + 174, + 503, + 221 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $73,316.57", + "bbox": [ + 180, + 388, + 1485, + 428 + ] + }, + { + "text": "Receivables $70,996.72", + "bbox": [ + 179, + 441, + 1484, + 481 + ] + }, + { + "text": "Stock on Hand $81,941.40", + "bbox": [ + 179, + 495, + 1484, + 535 + ] + }, + { + "text": "Fixed Assets $470,238.11", + "bbox": [ + 178, + 548, + 1484, + 588 + ] + }, + { + "text": "Payables $65,856.66", + "bbox": [ + 178, + 601, + 1483, + 642 + ] + }, + { + "text": "Debt Instruments $168,339.31", + "bbox": [ + 178, + 655, + 1483, + 695 + ] + }, + { + "text": "Ordinary Shares $150,646.41", + "bbox": [ + 177, + 708, + 1482, + 748 + ] + }, + { + "text": "Income $598,475.63", + "bbox": [ + 177, + 762, + 1482, + 802 + ] + }, + { + "text": "Compensation Expense $135,388.42", + "bbox": [ + 176, + 815, + 1481, + 855 + ] + }, + { + "text": "Lease and Service Charges $35,775.39", + "bbox": [ + 176, + 869, + 1481, + 909 + ] + }, + { + "text": "Final Adjusted Total $1,850,974.62", + "bbox": [ + 258, + 925, + 1480, + 964 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/068/068_dirty_5.json b/new_type_trial_balance/068/068_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..41d4c4808aa18e28bbdd7ccbcc3bceb448fe5875 --- /dev/null +++ b/new_type_trial_balance/068/068_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_068_dirty_5.png", + "labels": [ + { + "text": "Salinas-Cooper", + "bbox": [ + 158, + 179, + 480, + 228 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $73,316.57", + "bbox": [ + 162, + 384, + 1467, + 433 + ] + }, + { + "text": "Receivables $70,996.72", + "bbox": [ + 162, + 437, + 1468, + 486 + ] + }, + { + "text": "Stock on Hand $81,941.40", + "bbox": [ + 163, + 491, + 1469, + 540 + ] + }, + { + "text": "Fixed Assets $470,238.11", + "bbox": [ + 164, + 543, + 1469, + 593 + ] + }, + { + "text": "Payables $65,856.66", + "bbox": [ + 165, + 596, + 1470, + 647 + ] + }, + { + "text": "Debt Instruments $168,339.31", + "bbox": [ + 166, + 650, + 1471, + 700 + ] + }, + { + "text": "Ordinary Shares $150,646.41", + "bbox": [ + 167, + 703, + 1472, + 753 + ] + }, + { + "text": "Income $598,475.63", + "bbox": [ + 167, + 757, + 1473, + 807 + ] + }, + { + "text": "Compensation Expense $135,388.42", + "bbox": [ + 168, + 810, + 1473, + 860 + ] + }, + { + "text": "Lease and Service Charges $35,775.39", + "bbox": [ + 169, + 864, + 1474, + 914 + ] + }, + { + "text": "Final Adjusted Total $1,850,974.62", + "bbox": [ + 253, + 919, + 1475, + 967 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/068/068_pdf.json b/new_type_trial_balance/068/068_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..386794b03ff751842533556ee0faea1715a87bcc --- /dev/null +++ b/new_type_trial_balance/068/068_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_068.pdf", + "labels": [ + { + "text": "Salinas-Cooper", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 178.21916324999998, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $73,316.57", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.5734077499999, + 152.40670650000004 + ] + }, + { + "text": "Receivables $70,996.72", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock on Hand $81,941.40", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.5734077499999, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $470,238.11", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.57410525, + 210.09811275000004 + ] + }, + { + "text": "Payables $65,856.66", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Debt Instruments $168,339.31", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Ordinary Shares $150,646.41", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Income $598,475.63", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Compensation Expense $135,388.42", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.571808, + 306.25045650000004 + ] + }, + { + "text": "Lease and Service Charges $35,775.39", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Final Adjusted Total $1,850,974.62", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/082/082.json b/new_type_trial_balance/082/082.json new file mode 100644 index 0000000000000000000000000000000000000000..27b824eeaa889cff99bf195b3bd558f6cfbc6bee --- /dev/null +++ b/new_type_trial_balance/082/082.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_082.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Hogan, Duke and James", + "bbox_px": [ + 166.09, + 180.51, + 672.14, + 228.39 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $59,588.43", + "bbox_px": [ + 167.84, + 388.89, + 1473.26, + 428.71 + ] + }, + { + "text": "Receivables $61,023.30", + "bbox_px": [ + 168.28, + 442.3, + 1473.7, + 482.12 + ] + }, + { + "text": "Stock $96,439.05", + "bbox_px": [ + 168.72, + 495.72, + 1474.13, + 535.54 + ] + }, + { + "text": "Fixed Assets $293,087.43", + "bbox_px": [ + 169.15, + 549.13, + 1474.57, + 588.95 + ] + }, + { + "text": "Payables $47,137.12", + "bbox_px": [ + 169.59, + 602.55, + 1475.01, + 642.37 + ] + }, + { + "text": "Borrowings $142,137.71", + "bbox_px": [ + 170.02, + 655.97, + 1475.44, + 695.79 + ] + }, + { + "text": "Share Capital $224,132.78", + "bbox_px": [ + 170.46, + 709.38, + 1475.87, + 749.2 + ] + }, + { + "text": "Income $428,259.81", + "bbox_px": [ + 170.9, + 762.8, + 1476.31, + 802.62 + ] + }, + { + "text": "Personnel Costs $104,039.99", + "bbox_px": [ + 171.33, + 816.22, + 1476.75, + 856.04 + ] + }, + { + "text": "Lease and Utilities Expenses $39,685.53", + "bbox_px": [ + 171.77, + 869.63, + 1477.19, + 909.45 + ] + }, + { + "text": "Adjusted Total $1,495,531.15", + "bbox_px": [ + 255.55, + 925.13, + 1477.64, + 964.27 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/082/082.pdf b/new_type_trial_balance/082/082.pdf new file mode 100644 index 0000000000000000000000000000000000000000..2d520435cc5bbee0d0424c9156f076e53f284dc0 Binary files /dev/null and b/new_type_trial_balance/082/082.pdf differ diff --git a/new_type_trial_balance/082/082.xlsx b/new_type_trial_balance/082/082.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..4868a62a36df1263c45f0f0650de912173628e35 Binary files /dev/null and b/new_type_trial_balance/082/082.xlsx differ diff --git a/new_type_trial_balance/082/082_dirty_1.json b/new_type_trial_balance/082/082_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..5f4fd380ba8d57c7f49818a8e449010da70d01c8 --- /dev/null +++ b/new_type_trial_balance/082/082_dirty_1.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_082_dirty_1.png", + "labels": [ + { + "text": "Hogan, Duke and James", + "bbox": [ + 191, + 164, + 698, + 218 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $59,588.43", + "bbox": [ + 188, + 381, + 1493, + 435 + ] + }, + { + "text": "Receivables $61,023.30", + "bbox": [ + 187, + 434, + 1492, + 488 + ] + }, + { + "text": "Stock $96,439.05", + "bbox": [ + 186, + 488, + 1491, + 542 + ] + }, + { + "text": "Fixed Assets $293,087.43", + "bbox": [ + 185, + 541, + 1490, + 595 + ] + }, + { + "text": "Payables $47,137.12", + "bbox": [ + 184, + 594, + 1489, + 649 + ] + }, + { + "text": "Borrowings $142,137.71", + "bbox": [ + 183, + 648, + 1488, + 702 + ] + }, + { + "text": "Share Capital $224,132.78", + "bbox": [ + 182, + 701, + 1487, + 755 + ] + }, + { + "text": "Income $428,259.81", + "bbox": [ + 181, + 755, + 1486, + 809 + ] + }, + { + "text": "Personnel Costs $104,039.99", + "bbox": [ + 180, + 808, + 1485, + 862 + ] + }, + { + "text": "Lease and Utilities Expenses $39,685.53", + "bbox": [ + 179, + 862, + 1484, + 916 + ] + }, + { + "text": "Adjusted Total $1,495,531.15", + "bbox": [ + 261, + 919, + 1483, + 971 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/082/082_dirty_2.json b/new_type_trial_balance/082/082_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..e42e1e8ea4d68433261c26c25813ac505ea07cbf --- /dev/null +++ b/new_type_trial_balance/082/082_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_082_dirty_2.png", + "labels": [ + { + "text": "Hogan, Duke and James", + "bbox": [ + 172, + 179, + 678, + 223 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $59,588.43", + "bbox": [ + 172, + 393, + 1478, + 423 + ] + }, + { + "text": "Receivables $61,023.30", + "bbox": [ + 173, + 446, + 1478, + 476 + ] + }, + { + "text": "Stock $96,439.05", + "bbox": [ + 173, + 500, + 1478, + 530 + ] + }, + { + "text": "Fixed Assets $293,087.43", + "bbox": [ + 173, + 553, + 1478, + 583 + ] + }, + { + "text": "Payables $47,137.12", + "bbox": [ 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1474, + 913 + ] + }, + { + "text": "Adjusted Total $1,495,531.15", + "bbox": [ + 253, + 920, + 1475, + 967 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/082/082_dirty_4.json b/new_type_trial_balance/082/082_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..6defe87c5aa841f84628c16298a92dafcee93964 --- /dev/null +++ b/new_type_trial_balance/082/082_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_082_dirty_4.png", + "labels": [ + { + "text": "Hogan, Duke and James", + "bbox": [ + 167, + 177, + 673, + 224 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $59,588.43", + "bbox": [ + 168, + 389, + 1473, + 427 + ] + }, + { + "text": "Receivables $61,023.30", + "bbox": [ + 169, + 442, + 1474, + 480 + ] + }, + { + "text": "Stock $96,439.05", + "bbox": [ + 169, + 496, + 1474, + 534 + ] + }, + { + "text": "Fixed Assets $293,087.43", + "bbox": [ + 169, + 549, + 1474, + 587 + ] + }, + { + "text": 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171.63717525000004 + ] + }, + { + "text": "Stock $96,439.05", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.5734077499999, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $293,087.43", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Payables $47,137.12", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Borrowings $142,137.71", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Share Capital $224,132.78", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Income $428,259.81", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Personnel Costs $104,039.99", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.571808, + 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"Debt Instruments $110,831.78", + "bbox_px": [ + 171.64, + 658.05, + 1477.02, + 693.68 + ] + }, + { + "text": "Equity Shares $331,423.13", + "bbox_px": [ + 171.9, + 711.47, + 1477.25, + 747.1 + ] + }, + { + "text": "Sales Income $388,712.24", + "bbox_px": [ + 172.17, + 764.88, + 1477.52, + 800.52 + ] + }, + { + "text": "Compensation Costs $147,394.58", + "bbox_px": [ + 172.43, + 818.3, + 1477.78, + 853.93 + ] + }, + { + "text": "Operational Expenditures $45,771.37", + "bbox_px": [ + 172.7, + 871.72, + 1478.05, + 907.35 + ] + }, + { + "text": "Net Balance $1,726,570.61", + "bbox_px": [ + 256.31, + 927.22, + 1478.32, + 962.44 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1016/1016.pdf b/new_type_trial_balance/1016/1016.pdf new file mode 100644 index 0000000000000000000000000000000000000000..68869a843a30894c50492baa8cb57af0cfe8c8f0 Binary files /dev/null and b/new_type_trial_balance/1016/1016.pdf differ diff --git a/new_type_trial_balance/1016/1016.xlsx 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Assets $404,854.44", + "bbox": [ + 181, + 545, + 1486, + 591 + ] + }, + { + "text": "Vendor Liabilities $65,488.74", + "bbox": [ + 180, + 598, + 1486, + 645 + ] + }, + { + "text": "Debt Instruments $110,831.78", + "bbox": [ + 180, + 652, + 1485, + 698 + ] + }, + { + "text": "Equity Shares $331,423.13", + "bbox": [ + 179, + 705, + 1484, + 751 + ] + }, + { + "text": "Sales Income $388,712.24", + "bbox": [ + 178, + 759, + 1484, + 805 + ] + }, + { + "text": "Compensation Costs $147,394.58", + "bbox": [ + 178, + 812, + 1483, + 858 + ] + }, + { + "text": "Operational Expenditures $45,771.37", + "bbox": [ + 177, + 866, + 1482, + 912 + ] + }, + { + "text": "Net Balance $1,726,570.61", + "bbox": [ + 259, + 922, + 1481, + 967 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1016/1016_dirty_2.json b/new_type_trial_balance/1016/1016_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..eeb264fd33e9471d2c88fb40f1274c57f6b238b7 --- /dev/null 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"Compensation Costs $147,394.58", + "bbox": [ + 179, + 799, + 1484, + 849 + ] + }, + { + "text": "Operational Expenditures $45,771.37", + "bbox": [ + 178, + 853, + 1483, + 903 + ] + }, + { + "text": "Net Balance $1,726,570.61", + "bbox": [ + 260, + 910, + 1482, + 958 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1016/1016_dirty_3.json b/new_type_trial_balance/1016/1016_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..0acaef3fc5480faa1ac6c62da02adbd3beee3beb --- /dev/null +++ b/new_type_trial_balance/1016/1016_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1016_dirty_3.png", + "labels": [ + { + "text": "Clay Ltd", + "bbox": [ + 180, + 171, + 352, + 216 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $95,744.41", + "bbox": [ + 179, + 389, + 1484, + 427 + ] + }, + { + "text": "Outstanding Receivables $76,821.34", + "bbox": [ + 178, + 442, + 1483, + 480 + ] + }, + { + "text": "Stock on Hand $59,528.58", + "bbox": [ + 178, + 496, + 1483, + 534 + ] + }, + { + "text": "Fixed Assets $404,854.44", + "bbox": [ + 178, + 549, + 1483, + 587 + ] + }, + { + "text": "Vendor Liabilities $65,488.74", + "bbox": [ + 177, + 602, + 1482, + 641 + ] + }, + { + "text": "Debt Instruments $110,831.78", + "bbox": [ + 177, + 656, + 1482, + 694 + ] + }, + { + "text": "Equity Shares $331,423.13", + "bbox": [ + 176, + 709, + 1482, + 747 + ] + }, + { + "text": "Sales Income $388,712.24", + "bbox": [ + 176, + 763, + 1481, + 801 + ] + }, + { + "text": "Compensation Costs $147,394.58", + "bbox": [ + 176, + 816, + 1481, + 854 + ] + }, + { + "text": "Operational Expenditures $45,771.37", + "bbox": [ + 175, + 870, + 1481, + 908 + ] + }, + { + "text": "Net Balance $1,726,570.61", + "bbox": [ + 258, + 926, + 1480, + 963 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1016/1016_dirty_4.json b/new_type_trial_balance/1016/1016_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..73f3036a74d642afd78e7d1e6817b3e6ecef0500 --- /dev/null +++ b/new_type_trial_balance/1016/1016_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1016_dirty_4.png", + "labels": [ + { + "text": "Clay Ltd", + "bbox": [ + 159, + 191, + 331, + 238 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $95,744.41", + "bbox": [ + 162, + 384, + 1467, + 433 + ] + }, + { + "text": "Outstanding Receivables $76,821.34", + "bbox": [ + 163, + 437, + 1468, + 486 + ] + }, + { + "text": "Stock on Hand $59,528.58", + "bbox": [ + 163, + 491, + 1469, + 540 + ] + }, + { + "text": "Fixed Assets $404,854.44", + "bbox": [ + 164, + 544, + 1470, + 592 + ] + }, + { + "text": "Vendor Liabilities $65,488.74", + "bbox": [ + 165, + 597, + 1470, + 646 + ] + }, + { + "text": "Debt Instruments $110,831.78", + "bbox": [ + 166, + 651, + 1471, + 699 + ] + }, + { + "text": "Equity Shares $331,423.13", + "bbox": [ + 167, + 704, + 1472, + 752 + ] + }, + { + "text": "Sales Income $388,712.24", + "bbox": [ + 167, + 758, + 1473, + 806 + ] + }, + { + "text": "Compensation Costs $147,394.58", + "bbox": [ + 168, + 811, + 1474, + 859 + ] + }, + { + "text": "Operational Expenditures $45,771.37", + "bbox": [ + 169, + 865, + 1474, + 913 + ] + }, + { + "text": "Net Balance $1,726,570.61", + "bbox": [ + 253, + 920, + 1475, + 967 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1016/1016_dirty_5.json b/new_type_trial_balance/1016/1016_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..010b1983f6c8ded6f7835bf0a5eed8829ace5326 --- /dev/null +++ b/new_type_trial_balance/1016/1016_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1016_dirty_5.png", + "labels": [ + { + "text": "Clay Ltd", + "bbox": [ + 187, + 169, + 360, + 216 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $95,744.41", + "bbox": [ + 184, + 384, + 1490, + 432 + ] + }, + { + "text": "Outstanding Receivables $76,821.34", + "bbox": [ + 184, + 437, + 1489, + 485 + ] + }, + { + "text": "Stock on Hand $59,528.58", + "bbox": [ + 183, + 491, + 1488, + 539 + ] + }, + { + "text": "Fixed Assets $404,854.44", + "bbox": [ + 182, + 544, + 1487, + 592 + ] + }, + { + "text": "Vendor Liabilities $65,488.74", + "bbox": [ + 181, + 597, + 1487, + 646 + ] + }, + { + "text": "Debt Instruments $110,831.78", + "bbox": [ + 181, + 651, + 1486, + 699 + ] + }, + { + "text": "Equity Shares $331,423.13", + "bbox": [ + 180, + 704, + 1485, + 752 + ] + }, + { + "text": "Sales Income $388,712.24", + "bbox": [ + 179, + 758, + 1484, + 806 + ] + }, + { + "text": "Compensation Costs $147,394.58", + "bbox": [ + 178, + 811, + 1483, + 859 + ] + }, + { + "text": "Operational Expenditures $45,771.37", + "bbox": [ + 177, + 865, + 1483, + 913 + ] + }, + { + "text": "Net Balance $1,726,570.61", + "bbox": [ + 260, + 921, + 1482, + 968 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1016/1016_pdf.json b/new_type_trial_balance/1016/1016_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..b4eba56ab7f39deb26053f074b007431324a8509 --- /dev/null +++ b/new_type_trial_balance/1016/1016_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1016.pdf", + "labels": [ + { + "text": "Clay Ltd", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 124.82666325, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $95,744.41", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.5734077499999, + 152.40670650000004 + ] + }, + { + "text": "Outstanding Receivables $76,821.34", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock on Hand $59,528.58", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.5734077499999, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $404,854.44", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Vendor Liabilities $65,488.74", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Debt Instruments $110,831.78", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.58460525, + 248.55905025000004 + ] + }, + { + "text": "Equity Shares $331,423.13", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Sales Income $388,712.24", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Compensation Costs $147,394.58", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.571808, + 306.25045650000004 + ] + }, + { + "text": "Operational Expenditures $45,771.37", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Net Balance $1,726,570.61", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1033/1033.json b/new_type_trial_balance/1033/1033.json new file mode 100644 index 0000000000000000000000000000000000000000..92df231e7b18ff4ab061c82ad5f250de5ee80fff --- /dev/null +++ b/new_type_trial_balance/1033/1033.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_1033.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Flores LLC", + "bbox_px": [ + 166.94, + 182.4, + 395.76, + 227.82 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $123,743.87", + "bbox_px": [ + 168.51, + 389.44, + 1473.91, + 428.14 + ] + }, + { + "text": "Trade Receivables $78,980.97", + "bbox_px": [ + 168.9, + 442.86, + 1474.3, + 481.55 + ] + }, + { + "text": "Stock of Goods $69,773.56", + "bbox_px": [ + 169.29, + 496.28, + 1474.69, + 534.97 + ] + }, + { + "text": "Fixed Assets $236,355.98", + "bbox_px": [ + 169.68, + 549.69, + 1475.08, + 588.39 + ] + }, + { + "text": "Trade Payables $38,817.99", + "bbox_px": [ + 170.07, + 603.11, + 1475.47, + 641.8 + ] + }, + { + "text": "Debts on Notes $179,478.24", + "bbox_px": [ + 170.46, + 656.53, + 1475.86, + 695.22 + ] + }, + { + "text": "Ordinary Shares $217,817.68", + "bbox_px": [ + 170.85, + 709.94, + 1476.25, + 748.64 + ] + }, + { + "text": "Sales Income $331,724.19", + "bbox_px": [ + 171.24, + 763.36, + 1476.64, + 802.05 + ] + }, + { + "text": "Personnel Costs $146,505.60", + "bbox_px": [ + 171.63, + 816.78, + 1477.03, + 855.47 + ] + }, + { + "text": "Lease and Utility Expenditures $46,879.83", + "bbox_px": [ + 172.02, + 870.19, + 1477.42, + 908.89 + ] + }, + { + "text": "Final Adjusted Total $1,470,077.91", + "bbox_px": [ + 255.75, + 925.69, + 1477.82, + 963.78 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1033/1033.pdf b/new_type_trial_balance/1033/1033.pdf 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+ 175, + 403, + 1480, + 435 + ] + }, + { + "text": "Trade Receivables $78,980.97", + "bbox": [ + 175, + 456, + 1480, + 488 + ] + }, + { + "text": "Stock of Goods $69,773.56", + "bbox": [ + 175, + 510, + 1480, + 542 + ] + }, + { + "text": "Fixed Assets $236,355.98", + "bbox": [ + 175, + 563, + 1480, + 595 + ] + }, + { + "text": "Trade Payables $38,817.99", + "bbox": [ + 174, + 616, + 1480, + 649 + ] + }, + { + "text": "Debts on Notes $179,478.24", + "bbox": [ + 174, + 670, + 1479, + 702 + ] + }, + { + "text": "Ordinary Shares $217,817.68", + "bbox": [ + 174, + 723, + 1479, + 755 + ] + }, + { + "text": "Sales Income $331,724.19", + "bbox": [ + 174, + 777, + 1479, + 809 + ] + }, + { + "text": "Personnel Costs $146,505.60", + "bbox": [ + 174, + 830, + 1479, + 862 + ] + }, + { + "text": "Lease and Utility Expenditures $46,879.83", + "bbox": [ + 174, + 884, + 1479, + 916 + ] + }, + { + "text": "Final Adjusted Total $1,470,077.91", + "bbox": [ + 257, + 939, + 1479, + 971 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1033/1033_dirty_2.json b/new_type_trial_balance/1033/1033_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..f89e2213a88901ad528db81b39ae95269f6db4c5 --- /dev/null +++ b/new_type_trial_balance/1033/1033_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1033_dirty_2.png", + "labels": [ + { + "text": "Flores LLC", + "bbox": [ + 171, + 174, + 399, + 219 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $123,743.87", + "bbox": [ + 172, + 374, + 1477, + 406 + ] + }, + { + "text": "Trade Receivables $78,980.97", + "bbox": [ + 172, + 427, + 1477, + 459 + ] + }, + { + "text": "Stock of Goods $69,773.56", + "bbox": [ + 172, + 481, + 1477, + 513 + ] + }, + { + "text": "Fixed Assets $236,355.98", + "bbox": [ + 172, + 534, + 1477, + 566 + ] + }, + { + "text": "Trade Payables $38,817.99", + "bbox": [ + 172, + 587, + 1477, + 620 + ] + }, + { + "text": "Debts on Notes $179,478.24", + "bbox": [ + 172, + 641, + 1477, + 673 + ] + }, + { + "text": "Ordinary Shares $217,817.68", + "bbox": [ + 172, + 694, + 1478, + 726 + ] + }, + { + "text": "Sales Income $331,724.19", + "bbox": [ + 173, + 748, + 1478, + 780 + ] + }, + { + "text": "Personnel Costs $146,505.60", + "bbox": [ + 173, + 801, + 1478, + 833 + ] + }, + { + "text": "Lease and Utility Expenditures $46,879.83", + "bbox": [ + 173, + 855, + 1478, + 887 + ] + }, + { + "text": "Final Adjusted Total $1,470,077.91", + "bbox": [ + 256, + 910, + 1478, + 942 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1033/1033_dirty_3.json b/new_type_trial_balance/1033/1033_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..7710d30bb02e45ffe3e53bcf16d03f5d47ed5443 --- /dev/null +++ b/new_type_trial_balance/1033/1033_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1033_dirty_3.png", + "labels": [ + { + "text": "Flores LLC", + "bbox": [ + 177, + 171, + 405, + 216 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $123,743.87", + "bbox": [ + 176, + 373, + 1482, + 407 + ] + }, + { + "text": "Trade Receivables $78,980.97", + "bbox": [ + 176, + 426, + 1481, + 460 + ] + }, + { + "text": "Stock of Goods $69,773.56", + "bbox": [ + 176, + 480, + 1481, + 514 + ] + }, + { + "text": "Fixed Assets $236,355.98", + "bbox": [ + 176, + 533, + 1481, + 567 + ] + }, + { + "text": "Trade Payables $38,817.99", + "bbox": [ + 176, + 586, + 1481, + 621 + ] + }, + { + "text": "Debts on Notes $179,478.24", + "bbox": [ + 175, + 640, + 1481, + 674 + ] + }, + { + "text": "Ordinary Shares $217,817.68", + "bbox": [ + 175, + 693, + 1480, + 727 + ] + }, + { + "text": "Sales Income $331,724.19", + "bbox": [ + 175, + 747, + 1480, + 781 + ] + }, + { + "text": "Personnel Costs $146,505.60", + "bbox": [ + 175, + 800, + 1480, + 834 + ] + }, + { + "text": "Lease and Utility Expenditures $46,879.83", + "bbox": [ + 175, + 854, + 1480, + 888 + ] + }, + { + "text": "Final Adjusted Total $1,470,077.91", + "bbox": [ + 257, + 909, + 1479, + 943 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1033/1033_dirty_4.json b/new_type_trial_balance/1033/1033_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..dc07ed9c8ba5afae763de63f0d927f2c24abf3fc --- /dev/null +++ b/new_type_trial_balance/1033/1033_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1033_dirty_4.png", + "labels": [ + { + "text": "Flores LLC", + "bbox": [ + 188, + 169, + 416, + 216 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $123,743.87", + "bbox": [ + 185, + 384, + 1490, + 432 + ] + }, + { + "text": "Trade Receivables $78,980.97", + "bbox": [ + 184, + 437, + 1489, + 485 + ] + }, + { + "text": "Stock of Goods $69,773.56", + "bbox": [ + 183, + 491, + 1488, + 539 + ] + }, + { + "text": "Fixed Assets $236,355.98", + "bbox": [ + 182, + 544, + 1488, + 592 + ] + }, + { + "text": "Trade Payables $38,817.99", + "bbox": [ + 181, + 597, + 1487, + 646 + ] + }, + { + "text": "Debts on Notes $179,478.24", + "bbox": [ + 181, + 651, + 1486, + 699 + ] + }, + { + "text": "Ordinary Shares $217,817.68", + "bbox": [ + 180, + 704, + 1485, + 752 + ] + }, + { + "text": "Sales Income $331,724.19", + "bbox": [ + 179, + 758, + 1484, + 806 + ] + }, + { + "text": "Personnel Costs $146,505.60", + "bbox": [ + 178, + 811, + 1484, + 859 + ] + }, + { + "text": "Lease and Utility Expenditures $46,879.83", + "bbox": [ + 178, + 865, + 1483, + 913 + ] + }, + { + "text": "Final Adjusted Total $1,470,077.91", + "bbox": [ + 260, + 921, + 1482, + 968 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1033/1033_dirty_5.json b/new_type_trial_balance/1033/1033_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..2d00bf9a0826b88a7b0a91a767cbaf6200476709 --- /dev/null +++ b/new_type_trial_balance/1033/1033_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1033_dirty_5.png", + "labels": [ + { + "text": "Flores LLC", + "bbox": [ + 167, + 175, + 396, + 221 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $123,743.87", + "bbox": [ + 169, + 390, + 1474, + 427 + ] + }, + { + "text": "Trade Receivables $78,980.97", + "bbox": [ + 169, + 443, + 1474, + 480 + ] + }, + { + "text": "Stock of Goods $69,773.56", + "bbox": [ + 169, + 497, + 1475, + 534 + ] + }, + { + "text": "Fixed Assets $236,355.98", + "bbox": [ + 170, + 549, + 1475, + 587 + ] + }, + { + "text": "Trade Payables $38,817.99", + "bbox": [ + 170, + 602, + 1475, + 641 + ] + }, + { + "text": "Debts on Notes $179,478.24", + "bbox": [ + 170, + 656, + 1476, + 694 + ] + }, + { + "text": "Ordinary Shares $217,817.68", + "bbox": [ + 171, + 709, + 1476, + 747 + ] + }, + { + "text": "Sales Income $331,724.19", + "bbox": [ + 171, + 763, + 1476, + 801 + ] + }, + { + "text": "Personnel Costs $146,505.60", + "bbox": [ + 171, + 816, + 1477, + 854 + ] + }, + { + "text": "Lease and Utility Expenditures $46,879.83", + "bbox": [ + 172, + 870, + 1477, + 908 + ] + }, + { + "text": "Final Adjusted Total $1,470,077.91", + "bbox": [ + 255, + 925, + 1477, + 962 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1033/1033_pdf.json b/new_type_trial_balance/1033/1033_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..c5f52c5344580d9c0eb03859cb5b2307c9de61b2 --- /dev/null +++ b/new_type_trial_balance/1033/1033_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1033.pdf", + "labels": [ + { + "text": "Flores LLC", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 144.95516325000003, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $123,743.87", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.571808, + 152.40670650000004 + ] + }, + { + "text": "Trade Receivables $78,980.97", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock of Goods $69,773.56", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.5734077499999, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $236,355.98", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Trade Payables $38,817.99", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Debts on Notes $179,478.24", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Ordinary Shares $217,817.68", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Sales Income $331,724.19", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Personnel Costs $146,505.60", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.571808, + 306.25045650000004 + ] + }, + { + "text": "Lease and Utility Expenditures $46,879.83", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Final Adjusted Total $1,470,077.91", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1053/1053.json b/new_type_trial_balance/1053/1053.json new file mode 100644 index 0000000000000000000000000000000000000000..d3dc6561edcb5225ada9c343fa7fd97be54c9bb1 --- /dev/null +++ b/new_type_trial_balance/1053/1053.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_1053.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Hubbard Inc", + "bbox_px": [ + 165.01, + 183.0, + 420.64, + 229.11 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $101,808.80", + "bbox_px": [ + 167.0, + 388.18, + 1472.44, + 429.43 + ] + }, + { + "text": "Receivables $86,631.16", + "bbox_px": [ + 167.5, + 441.59, + 1472.93, + 482.84 + ] + }, + { + "text": "Stock of Goods $68,347.52", + "bbox_px": [ + 167.99, + 495.01, + 1473.43, + 536.26 + ] + }, + { + "text": "Fixed Assets $207,081.65", + "bbox_px": [ + 168.49, + 548.43, + 1473.92, + 589.67 + ] + }, + { + "text": "Trade Payables $52,376.54", + "bbox_px": [ + 168.98, + 601.84, + 1474.42, + 643.09 + ] + }, + { + "text": "Debt Instruments $187,994.66", + "bbox_px": [ + 169.47, + 655.26, + 1474.91, + 696.51 + ] + }, + { + "text": "Ordinary Shares $325,292.22", + "bbox_px": [ + 169.97, + 708.67, + 1475.4, + 749.92 + ] + }, + { + "text": "Sales Income $207,200.50", + "bbox_px": [ + 170.46, + 762.09, + 1475.9, + 803.34 + ] + }, + { + "text": "Compensation Costs $63,397.88", + "bbox_px": [ + 170.96, + 815.5, + 1476.4, + 856.75 + ] + }, + { + "text": "Lease and Operational Expenses $37,103.54", + "bbox_px": [ + 171.45, + 868.92, + 1476.89, + 910.17 + ] + }, + { + "text": "Final Adjusted Total $1,337,234.47", + "bbox_px": [ + 255.3, + 924.42, + 1477.4, + 964.9 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1053/1053.pdf b/new_type_trial_balance/1053/1053.pdf new file mode 100644 index 0000000000000000000000000000000000000000..50676859d472fb292ff36a65eb7301d01ad8d6fd Binary files /dev/null and b/new_type_trial_balance/1053/1053.pdf differ diff --git a/new_type_trial_balance/1053/1053.xlsx b/new_type_trial_balance/1053/1053.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..74f17e9449a3c2aa5a3553e8a3e535ca1c85fd05 Binary files /dev/null and b/new_type_trial_balance/1053/1053.xlsx differ diff --git a/new_type_trial_balance/1053/1053_dirty_1.json b/new_type_trial_balance/1053/1053_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..9f0e31d7b6f0b137138c9bc499452b62ed5dbe8f --- /dev/null +++ b/new_type_trial_balance/1053/1053_dirty_1.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1053_dirty_1.png", + "labels": [ + { + "text": "Hubbard Inc", + "bbox": [ + 187, + 170, + 442, + 217 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $101,808.80", + "bbox": [ + 184, + 385, + 1489, + 432 + ] + }, + { + "text": "Receivables $86,631.16", + "bbox": [ + 183, + 438, + 1488, + 485 + ] + }, + { + "text": "Stock of Goods $68,347.52", + "bbox": [ + 182, + 492, + 1488, + 539 + ] + }, + { + "text": "Fixed Assets $207,081.65", + "bbox": [ + 182, + 545, + 1487, + 592 + ] + }, + { + "text": "Trade Payables $52,376.54", + "bbox": [ + 181, + 598, + 1486, + 646 + ] + }, + { + "text": "Debt Instruments $187,994.66", + "bbox": [ + 180, + 652, + 1485, + 699 + ] + }, + { + "text": "Ordinary Shares $325,292.22", + "bbox": [ + 179, + 705, + 1485, + 752 + ] + }, + { + "text": "Sales Income $207,200.50", + "bbox": [ + 179, + 759, + 1484, + 806 + ] + }, + { + "text": "Compensation Costs $63,397.88", + "bbox": [ + 178, + 812, + 1483, + 859 + ] + }, + { + "text": "Lease and Operational Expenses $37,103.54", + "bbox": [ + 177, + 865, + 1483, + 913 + ] + }, + { + "text": "Final Adjusted Total $1,337,234.47", + "bbox": [ + 259, + 922, + 1482, + 968 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1053/1053_dirty_2.json b/new_type_trial_balance/1053/1053_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..c364eca9062885f2be3f455d8b5b2fbf862c7c04 --- /dev/null +++ b/new_type_trial_balance/1053/1053_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1053_dirty_2.png", + "labels": [ + { + "text": "Hubbard Inc", + "bbox": [ + 156, + 184, + 412, + 232 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $101,808.80", + "bbox": [ + 160, + 375, + 1465, + 427 + ] + }, + { + "text": "Receivables $86,631.16", + "bbox": [ + 161, + 428, + 1466, + 480 + ] + }, + { + "text": "Stock of Goods $68,347.52", + "bbox": [ + 162, + 482, + 1467, + 534 + ] + }, + { + "text": "Fixed Assets $207,081.65", + "bbox": [ + 163, + 535, + 1468, + 587 + ] + }, + { + "text": "Trade Payables $52,376.54", + "bbox": [ + 164, + 588, + 1469, + 641 + ] + }, + { + "text": "Debt Instruments $187,994.66", + "bbox": [ + 165, + 642, + 1470, + 694 + ] + }, + { + "text": "Ordinary Shares $325,292.22", + "bbox": [ + 165, + 695, + 1471, + 747 + ] + }, + { + "text": "Sales Income $207,200.50", + "bbox": [ + 166, + 749, + 1472, + 801 + ] + }, + { + "text": "Compensation Costs $63,397.88", + "bbox": [ + 167, + 802, + 1473, + 854 + ] + }, + { + "text": "Lease and Operational Expenses $37,103.54", + "bbox": [ + 168, + 856, + 1474, + 908 + ] + }, + { + "text": "Final Adjusted Total $1,337,234.47", + "bbox": [ + 252, + 911, + 1475, + 962 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1053/1053_dirty_3.json b/new_type_trial_balance/1053/1053_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..520e1f9c721d25cfa8e0753333c4d5d068f87a1b --- /dev/null +++ b/new_type_trial_balance/1053/1053_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1053_dirty_3.png", + "labels": [ + { + "text": "Hubbard Inc", + "bbox": [ + 192, + 162, + 448, + 211 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $101,808.80", + "bbox": [ + 188, + 381, + 1494, + 435 + ] + }, + { + "text": "Receivables $86,631.16", + "bbox": [ + 187, + 434, + 1493, + 488 + ] + }, + { + "text": "Stock of Goods $68,347.52", + "bbox": [ + 186, + 488, + 1492, + 542 + ] + }, + { + "text": "Fixed Assets $207,081.65", + "bbox": [ + 185, + 541, + 1490, + 595 + ] + }, + { + "text": "Trade Payables $52,376.54", + "bbox": [ + 184, + 594, + 1489, + 649 + ] + }, + { + "text": "Debt Instruments $187,994.66", + "bbox": [ + 183, + 648, + 1488, + 702 + ] + }, + { + "text": "Ordinary Shares $325,292.22", + "bbox": [ + 182, + 701, + 1487, + 755 + ] + }, + { + "text": "Sales Income $207,200.50", + "bbox": [ + 181, + 755, + 1486, + 809 + ] + }, + { + "text": "Compensation Costs $63,397.88", + "bbox": [ + 180, + 808, + 1485, + 862 + ] + }, + { + "text": "Lease and Operational Expenses $37,103.54", + "bbox": [ + 179, + 862, + 1484, + 916 + ] + }, + { + "text": "Final Adjusted Total $1,337,234.47", + "bbox": [ + 261, + 918, + 1483, + 971 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1053/1053_dirty_4.json b/new_type_trial_balance/1053/1053_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..be67332b7475d84829e77b772e7e4850e92e8d86 --- /dev/null +++ b/new_type_trial_balance/1053/1053_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1053_dirty_4.png", + "labels": [ + { + "text": "Hubbard Inc", + "bbox": [ + 172, + 179, + 427, + 224 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $101,808.80", + "bbox": [ + 172, + 392, + 1477, + 424 + ] + }, + { + "text": "Receivables $86,631.16", + "bbox": [ + 172, + 445, + 1477, + 477 + ] + }, + { + "text": "Stock of Goods $68,347.52", + "bbox": [ + 172, + 499, + 1477, + 531 + ] + }, + { + "text": "Fixed Assets $207,081.65", + "bbox": [ + 172, + 552, + 1477, + 584 + ] + }, + { + "text": "Trade Payables $52,376.54", + "bbox": [ + 172, + 605, + 1477, + 638 + ] + }, + { + "text": "Debt Instruments $187,994.66", + "bbox": [ + 173, + 659, + 1478, + 691 + ] + }, + { + "text": "Ordinary Shares $325,292.22", + "bbox": [ + 173, + 712, + 1478, + 744 + ] + }, + { + "text": "Sales Income $207,200.50", + "bbox": [ + 173, + 766, + 1478, + 798 + ] + }, + { + "text": "Compensation Costs $63,397.88", + "bbox": [ + 173, + 819, + 1478, + 851 + ] + }, + { + "text": "Lease and Operational Expenses $37,103.54", + "bbox": [ + 173, + 873, + 1478, + 905 + ] + }, + { + "text": "Final Adjusted Total $1,337,234.47", + "bbox": [ + 256, + 928, + 1478, + 960 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1053/1053_dirty_5.json b/new_type_trial_balance/1053/1053_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..8a6d8f838b33908e03c7c7d865ff3085e22f0618 --- /dev/null +++ b/new_type_trial_balance/1053/1053_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1053_dirty_5.png", + "labels": [ + { + "text": "Hubbard Inc", + "bbox": [ + 156, + 186, + 412, + 234 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $101,808.80", + "bbox": [ + 160, + 382, + 1465, + 434 + ] + }, + { + "text": "Receivables $86,631.16", + "bbox": [ + 161, + 435, + 1466, + 487 + ] + }, + { + "text": "Stock of Goods $68,347.52", + "bbox": [ + 162, + 489, + 1467, + 541 + ] + }, + { + "text": "Fixed Assets $207,081.65", + "bbox": [ + 163, + 542, + 1468, + 594 + ] + }, + { + "text": "Trade Payables $52,376.54", + "bbox": [ + 164, + 595, + 1469, + 648 + ] + }, + { + "text": "Debt Instruments $187,994.66", + "bbox": [ + 165, + 649, + 1470, + 701 + ] + }, + { + "text": "Ordinary Shares $325,292.22", + "bbox": [ + 165, + 702, + 1471, + 754 + ] + }, + { + "text": "Sales Income $207,200.50", + "bbox": [ + 166, + 756, + 1472, + 808 + ] + }, + { + "text": "Compensation Costs $63,397.88", + "bbox": [ + 167, + 809, + 1473, + 861 + ] + }, + { + "text": "Lease and Operational Expenses $37,103.54", + "bbox": [ + 168, + 863, + 1474, + 915 + ] + }, + { + "text": "Final Adjusted Total $1,337,234.47", + "bbox": [ + 252, + 918, + 1475, + 969 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1053/1053_pdf.json b/new_type_trial_balance/1053/1053_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..3dfa71afe145f9e9b7ce44dc29c36e6f9141c803 --- /dev/null +++ b/new_type_trial_balance/1053/1053_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1053.pdf", + "labels": [ + { + "text": "Hubbard Inc", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 154.57841325, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $101,808.80", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.571808, + 152.40670650000004 + ] + }, + { + "text": "Receivables $86,631.16", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock of Goods $68,347.52", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.5734077499999, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $207,081.65", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Trade Payables $52,376.54", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Debt Instruments $187,994.66", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Ordinary Shares $325,292.22", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Sales Income $207,200.50", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Compensation Costs $63,397.88", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.5734077499999, + 306.25045650000004 + ] + }, + { + "text": "Lease and Operational Expenses $37,103.54", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Final Adjusted Total $1,337,234.47", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1075/1075.json b/new_type_trial_balance/1075/1075.json new file mode 100644 index 0000000000000000000000000000000000000000..95c34856e4065a1e1db1183c8233f1af7e5926ee --- /dev/null +++ b/new_type_trial_balance/1075/1075.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_1075.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Bell Ltd", + "bbox_px": [ + 148.87, + 192.29, + 310.37, + 240.16 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $131,090.98", + "bbox_px": [ + 154.4, + 377.64, + 1459.94, + 440.42 + ] + }, + { + "text": "Outstanding Receivables $46,532.62", + "bbox_px": [ + 155.78, + 431.04, + 1461.32, + 493.82 + ] + }, + { + "text": "Stock on Hand $111,868.90", + "bbox_px": [ + 157.15, + 484.43, + 1462.73, + 547.22 + ] + }, + { + "text": "Fixed Assets $209,030.81", + "bbox_px": [ + 158.53, + 537.84, + 1464.07, + 600.62 + ] + }, + { + "text": "Vendor Liabilities $39,648.36", + "bbox_px": [ + 159.91, + 591.24, + 1465.45, + 654.02 + ] + }, + { + "text": "Debt Instruments $104,529.37", + "bbox_px": [ + 161.28, + 644.64, + 1466.82, + 707.42 + ] + }, + { + "text": "Equity Shares $342,080.51", + "bbox_px": [ + 162.66, + 698.04, + 1468.2, + 760.82 + ] + }, + { + "text": "Income $586,448.65", + "bbox_px": [ + 164.04, + 751.44, + 1469.57, + 814.22 + ] + }, + { + "text": "Compensation Costs $132,823.82", + "bbox_px": [ + 165.41, + 804.84, + 1470.95, + 867.62 + ] + }, + { + "text": "Lease and Service Charges $42,174.71", + "bbox_px": [ + 166.79, + 858.24, + 1472.33, + 921.02 + ] + }, + { + "text": "Final Reconciled Total $1,746,228.73", + "bbox_px": [ + 251.52, + 913.72, + 1473.76, + 974.36 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1075/1075.pdf b/new_type_trial_balance/1075/1075.pdf new file mode 100644 index 0000000000000000000000000000000000000000..5f1c9fc7e6835869e963750eba56a6c34d8e6172 Binary files /dev/null and b/new_type_trial_balance/1075/1075.pdf differ diff --git a/new_type_trial_balance/1075/1075.xlsx b/new_type_trial_balance/1075/1075.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..505e3d19acdf75c4c2bdfc5effae16cba64d8388 Binary files /dev/null and b/new_type_trial_balance/1075/1075.xlsx differ diff --git a/new_type_trial_balance/1075/1075_dirty_1.json b/new_type_trial_balance/1075/1075_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..1d0bb58d7fed03306a1e01ccd5c12c3f65c5dabe --- /dev/null +++ b/new_type_trial_balance/1075/1075_dirty_1.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1075_dirty_1.png", + "labels": [ + { + "text": "Bell Ltd", + "bbox": [ + 162, + 186, + 322, + 232 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $131,090.98", + "bbox": [ + 164, + 398, + 1470, + 442 + ] + }, + { + "text": "Outstanding Receivables $46,532.62", + "bbox": [ + 165, + 451, + 1470, + 495 + ] + }, + { + "text": "Stock on Hand $111,868.90", + "bbox": [ + 166, + 505, + 1471, + 549 + ] + }, + { + "text": "Fixed Assets $209,030.81", + "bbox": [ + 166, + 558, + 1472, + 602 + ] + }, + { + "text": "Vendor Liabilities $39,648.36", + "bbox": [ + 167, + 611, + 1472, + 656 + ] + }, + { + "text": "Debt Instruments $104,529.37", + "bbox": [ + 168, + 665, + 1473, + 709 + ] + }, + { + "text": "Equity Shares $342,080.51", + "bbox": [ + 168, + 718, + 1473, + 762 + ] + }, + { + "text": "Income $586,448.65", + "bbox": [ + 169, + 772, + 1474, + 816 + ] + }, + { + "text": "Compensation Costs $132,823.82", + "bbox": [ + 169, + 825, + 1475, + 869 + ] + }, + { + "text": "Lease and Service Charges $42,174.71", + "bbox": [ + 170, + 879, + 1475, + 923 + ] + }, + { + "text": "Final Reconciled Total $1,746,228.73", + "bbox": [ + 254, + 933, + 1476, + 976 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1075/1075_dirty_2.json b/new_type_trial_balance/1075/1075_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..c585cd9fa8b181b787ffa2f55c63d71dadba16a1 --- /dev/null +++ b/new_type_trial_balance/1075/1075_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1075_dirty_2.png", + "labels": [ + { + "text": "Bell Ltd", + "bbox": [ + 159, + 188, + 320, + 234 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $131,090.98", + "bbox": [ + 162, + 396, + 1468, + 444 + ] + }, + { + "text": "Outstanding Receivables $46,532.62", + "bbox": [ + 163, + 449, + 1468, + 497 + ] + }, + { + "text": "Stock on Hand $111,868.90", + "bbox": [ + 164, + 503, + 1469, + 551 + ] + }, + { + "text": "Fixed Assets $209,030.81", + "bbox": [ + 165, + 556, + 1470, + 604 + ] + }, + { + "text": "Vendor Liabilities $39,648.36", + "bbox": [ + 165, + 609, + 1471, + 658 + ] + }, + { + "text": "Debt Instruments $104,529.37", + "bbox": [ + 166, + 663, + 1471, + 711 + ] + }, + { + "text": "Equity Shares $342,080.51", + "bbox": [ + 167, + 716, + 1472, + 764 + ] + }, + { + "text": "Income $586,448.65", + "bbox": [ + 168, + 770, + 1473, + 818 + ] + }, + { + "text": "Compensation Costs $132,823.82", + "bbox": [ + 168, + 823, + 1474, + 871 + ] + }, + { + "text": "Lease and Service Charges $42,174.71", + "bbox": [ + 169, + 877, + 1475, + 925 + ] + }, + { + "text": "Final Reconciled Total $1,746,228.73", + "bbox": [ + 253, + 932, + 1475, + 979 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1075/1075_dirty_3.json b/new_type_trial_balance/1075/1075_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..bd66f23c79c3819dfd456524323a2b63b1c6c2ac --- /dev/null +++ b/new_type_trial_balance/1075/1075_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1075_dirty_3.png", + "labels": [ + { + "text": "Bell Ltd", + "bbox": [ + 156, + 187, + 317, + 234 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $131,090.98", + "bbox": [ + 160, + 382, + 1465, + 434 + ] + }, + { + "text": "Outstanding Receivables $46,532.62", + "bbox": [ + 161, + 435, + 1466, + 487 + ] + }, + { + "text": "Stock on Hand $111,868.90", + "bbox": [ + 162, + 489, + 1467, + 541 + ] + }, + { + "text": "Fixed Assets $209,030.81", + "bbox": [ + 163, + 542, + 1468, + 594 + ] + }, + { + "text": "Vendor Liabilities $39,648.36", + "bbox": [ + 164, + 595, + 1469, + 648 + ] + }, + { + "text": "Debt Instruments $104,529.37", + "bbox": [ + 165, + 649, + 1470, + 701 + ] + }, + { + "text": "Equity Shares $342,080.51", + "bbox": [ + 166, + 702, + 1471, + 754 + ] + }, + { + "text": "Income $586,448.65", + "bbox": [ + 167, + 756, + 1472, + 808 + ] + }, + { + "text": "Compensation Costs $132,823.82", + "bbox": [ + 168, + 809, + 1473, + 861 + ] + }, + { + "text": "Lease and Service Charges $42,174.71", + "bbox": [ + 169, + 863, + 1474, + 915 + ] + }, + { + "text": "Final Reconciled Total $1,746,228.73", + "bbox": [ + 252, + 918, + 1475, + 968 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1075/1075_dirty_4.json b/new_type_trial_balance/1075/1075_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..7863393873ef438baeed2f15a916eaaf49f9f0dc --- /dev/null +++ b/new_type_trial_balance/1075/1075_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1075_dirty_4.png", + "labels": [ + { + "text": "Bell Ltd", + "bbox": [ + 160, + 183, + 320, + 229 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $131,090.98", + "bbox": [ + 163, + 368, + 1468, + 416 + ] + }, + { + "text": "Outstanding Receivables $46,532.62", + "bbox": [ + 163, + 421, + 1469, + 469 + ] + }, + { + "text": "Stock on Hand $111,868.90", + "bbox": [ + 164, + 475, + 1469, + 523 + ] + }, + { + "text": "Fixed Assets $209,030.81", + "bbox": [ + 165, + 528, + 1470, + 576 + ] + }, + { + "text": "Vendor Liabilities $39,648.36", + "bbox": [ + 166, + 581, + 1471, + 630 + ] + }, + { + "text": "Debt Instruments $104,529.37", + "bbox": [ + 166, + 635, + 1472, + 683 + ] + }, + { + "text": "Equity Shares $342,080.51", + "bbox": [ + 167, + 688, + 1472, + 736 + ] + }, + { + "text": "Income $586,448.65", + "bbox": [ + 168, + 742, + 1473, + 790 + ] + }, + { + "text": "Compensation Costs $132,823.82", + "bbox": [ + 169, + 795, + 1474, + 843 + ] + }, + { + "text": "Lease and Service Charges $42,174.71", + "bbox": [ + 169, + 849, + 1475, + 897 + ] + }, + { + "text": "Final Reconciled Total $1,746,228.73", + "bbox": [ + 253, + 904, + 1475, + 951 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1075/1075_dirty_5.json b/new_type_trial_balance/1075/1075_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..0c05f8088deb8f88c0f2725338e1dafdbcbafda6 --- /dev/null +++ b/new_type_trial_balance/1075/1075_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1075_dirty_5.png", + "labels": [ + { + "text": "Bell Ltd", + "bbox": [ + 179, + 170, + 339, + 215 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $131,090.98", + "bbox": [ + 178, + 390, + 1483, + 426 + ] + }, + { + "text": "Outstanding Receivables $46,532.62", + "bbox": [ + 178, + 443, + 1483, + 479 + ] + }, + { + "text": "Stock on Hand $111,868.90", + "bbox": [ + 177, + 497, + 1483, + 533 + ] + }, + { + "text": "Fixed Assets $209,030.81", + "bbox": [ + 177, + 550, + 1482, + 586 + ] + }, + { + "text": "Vendor Liabilities $39,648.36", + "bbox": [ + 177, + 603, + 1482, + 640 + ] + }, + { + "text": "Debt Instruments $104,529.37", + "bbox": [ + 176, + 657, + 1482, + 693 + ] + }, + { + "text": "Equity Shares $342,080.51", + "bbox": [ + 176, + 710, + 1481, + 746 + ] + }, + { + "text": "Income $586,448.65", + "bbox": [ + 176, + 764, + 1481, + 800 + ] + }, + { + "text": "Compensation Costs $132,823.82", + "bbox": [ + 175, + 817, + 1481, + 853 + ] + }, + { + "text": "Lease and Service Charges $42,174.71", + "bbox": [ + 175, + 871, + 1480, + 907 + ] + }, + { + "text": "Final Reconciled Total $1,746,228.73", + "bbox": [ + 258, + 926, + 1480, + 962 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1075/1075_pdf.json b/new_type_trial_balance/1075/1075_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..cb06f9061ed7261c474bbc4d6284e3e7fc40d131 --- /dev/null +++ b/new_type_trial_balance/1075/1075_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1075.pdf", + "labels": [ + { + "text": "Bell Ltd", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 120.44816325000001, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $131,090.98", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.571808, + 152.40670650000004 + ] + }, + { + "text": "Outstanding Receivables $46,532.62", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock on Hand $111,868.90", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.58690175, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $209,030.81", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Vendor Liabilities $39,648.36", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Debt Instruments $104,529.37", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Equity Shares $342,080.51", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Income $586,448.65", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Compensation Costs $132,823.82", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.571808, + 306.25045650000004 + ] + }, + { + "text": "Lease and Service Charges $42,174.71", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Final Reconciled Total $1,746,228.73", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1106/1106.json b/new_type_trial_balance/1106/1106.json new file mode 100644 index 0000000000000000000000000000000000000000..19042a69ee56f6d267f5b2a1972d08cbc24373b0 --- /dev/null +++ b/new_type_trial_balance/1106/1106.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_1106.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Glenn, Watson and Ali", + "bbox_px": [ + 151.72, + 183.92, + 613.68, + 238.18 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $140,310.14", + "bbox_px": [ + 156.62, + 379.49, + 1462.17, + 438.46 + ] + }, + { + "text": "Trade Receivables $70,947.38", + "bbox_px": [ + 157.84, + 432.89, + 1463.39, + 491.86 + ] + }, + { + "text": "Merchandise Inventory $117,057.60", + "bbox_px": [ + 159.06, + 486.3, + 1464.64, + 545.26 + ] + }, + { + "text": "Fixed Assets $419,928.53", + "bbox_px": [ + 160.28, + 539.7, + 1465.83, + 598.67 + ] + }, + { + "text": "Trade Payables $27,331.89", + "bbox_px": [ + 161.5, + 593.11, + 1467.05, + 652.07 + ] + }, + { + "text": "Short-Term Borrowings $188,237.00", + "bbox_px": [ + 162.72, + 646.51, + 1468.27, + 705.48 + ] + }, + { + "text": "Ordinary Shares $278,107.79", + "bbox_px": [ + 163.94, + 699.91, + 1469.49, + 758.88 + ] + }, + { + "text": "Sales Revenue $295,353.32", + "bbox_px": [ + 165.16, + 753.32, + 1470.71, + 812.28 + ] + }, + { + "text": "Compensation Expense $162,362.82", + "bbox_px": [ + 166.38, + 806.72, + 1471.93, + 865.69 + ] + }, + { + "text": "Facility Costs $43,092.94", + "bbox_px": [ + 167.6, + 860.13, + 1473.15, + 919.09 + ] + }, + { + "text": "Adjusted Account Total $1,742,729.41", + "bbox_px": [ + 252.18, + 915.61, + 1474.41, + 972.68 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1106/1106.pdf 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Short-Term Investments $140,310.14", + "bbox": [ + 182, + 386, + 1487, + 430 + ] + }, + { + "text": "Trade Receivables $70,947.38", + "bbox": [ + 181, + 439, + 1486, + 483 + ] + }, + { + "text": "Merchandise Inventory $117,057.60", + "bbox": [ + 181, + 493, + 1486, + 537 + ] + }, + { + "text": "Fixed Assets $419,928.53", + "bbox": [ + 180, + 546, + 1485, + 590 + ] + }, + { + "text": "Trade Payables $27,331.89", + "bbox": [ + 179, + 599, + 1485, + 644 + ] + }, + { + "text": "Short-Term Borrowings $188,237.00", + "bbox": [ + 179, + 653, + 1484, + 697 + ] + }, + { + "text": "Ordinary Shares $278,107.79", + "bbox": [ + 178, + 706, + 1483, + 750 + ] + }, + { + "text": "Sales Revenue $295,353.32", + "bbox": [ + 178, + 760, + 1483, + 804 + ] + }, + { + "text": "Compensation Expense $162,362.82", + "bbox": [ + 177, + 813, + 1482, + 857 + ] + }, + { + "text": "Facility Costs $43,092.94", + "bbox": [ + 176, + 867, + 1482, + 911 + ] + }, + { + "text": "Adjusted Account Total $1,742,729.41", + "bbox": [ + 259, + 923, + 1481, + 966 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1106/1106_dirty_2.json b/new_type_trial_balance/1106/1106_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..f665ae30c165125f6f91d0aae0c2d85ae31ed710 --- /dev/null +++ b/new_type_trial_balance/1106/1106_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1106_dirty_2.png", + "labels": [ + { + "text": "Glenn, Watson and Ali", + "bbox": [ + 163, + 182, + 625, + 230 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $140,310.14", + "bbox": [ + 165, + 387, + 1471, + 429 + ] + }, + { + "text": "Trade Receivables $70,947.38", + "bbox": [ + 166, + 440, + 1471, + 482 + ] + }, + { + "text": "Merchandise Inventory $117,057.60", + "bbox": [ + 167, + 494, + 1472, + 536 + ] + }, + { + "text": "Fixed Assets $419,928.53", + "bbox": [ + 167, + 547, + 1472, + 589 + ] + }, + { + "text": "Trade Payables $27,331.89", 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173, + 837, + 1478, + 867 + ] + }, + { + "text": "Facility Costs $43,092.94", + "bbox": [ + 173, + 891, + 1478, + 921 + ] + }, + { + "text": "Adjusted Account Total $1,742,729.41", + "bbox": [ + 256, + 946, + 1478, + 976 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1106/1106_dirty_4.json b/new_type_trial_balance/1106/1106_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..e27560a97f71b9e8c840278ddba47f145600b695 --- /dev/null +++ b/new_type_trial_balance/1106/1106_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1106_dirty_4.png", + "labels": [ + { + "text": "Glenn, Watson and Ali", + "bbox": [ + 168, + 180, + 629, + 226 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $140,310.14", + "bbox": [ + 169, + 390, + 1474, + 426 + ] + }, + { + "text": "Trade Receivables $70,947.38", + "bbox": [ + 169, + 443, + 1474, + 479 + ] + }, + { + "text": "Merchandise Inventory $117,057.60", 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1487.49, + 484.19 + ] + }, + { + "text": "Stock of Goods $67,768.65", + "bbox_px": [ + 181.41, + 493.68, + 1486.88, + 537.61 + ] + }, + { + "text": "Fixed Assets $452,019.11", + "bbox_px": [ + 180.81, + 547.1, + 1486.28, + 591.02 + ] + }, + { + "text": "Trade Payables $48,172.58", + "bbox_px": [ + 180.2, + 600.51, + 1485.67, + 644.43 + ] + }, + { + "text": "Debts on Notes $156,660.54", + "bbox_px": [ + 179.6, + 653.93, + 1485.07, + 697.85 + ] + }, + { + "text": "Ordinary Shares $219,490.72", + "bbox_px": [ + 179.0, + 707.34, + 1484.46, + 751.26 + ] + }, + { + "text": "Sales Revenue $467,854.50", + "bbox_px": [ + 178.39, + 760.75, + 1483.86, + 804.68 + ] + }, + { + "text": "Compensation Expense $132,254.63", + "bbox_px": [ + 177.79, + 814.17, + 1483.25, + 858.09 + ] + }, + { + "text": "Lease and Services Expense $33,731.45", + "bbox_px": [ + 177.18, + 867.58, + 1482.65, + 911.51 + ] + }, + { + "text": "Final Adjusted Total $1,769,682.57", + "bbox_px": [ + 259.88, + 924.02, + 1482.02, + 967.01 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1145/1145.pdf b/new_type_trial_balance/1145/1145.pdf new file mode 100644 index 0000000000000000000000000000000000000000..ff4e84a706a3ec4aa4916cfb4dcbd85b5b44e0cf Binary files /dev/null and b/new_type_trial_balance/1145/1145.pdf differ diff --git a/new_type_trial_balance/1145/1145.xlsx b/new_type_trial_balance/1145/1145.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..0ec24520984bed4660a016f0c96110ea2c2471ee Binary files /dev/null and b/new_type_trial_balance/1145/1145.xlsx differ diff --git a/new_type_trial_balance/1145/1145_dirty_1.json b/new_type_trial_balance/1145/1145_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..9d64e3e15b747cd96470b6216a2f8c1187708561 --- /dev/null +++ b/new_type_trial_balance/1145/1145_dirty_1.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1145_dirty_1.png", + "labels": [ + { + "text": "Day-Jackson", 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851, + 1476, + 891 + ] + }, + { + "text": "Final Adjusted Total $1,769,682.57", + "bbox": [ + 254, + 906, + 1477, + 946 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1145/1145_dirty_2.json b/new_type_trial_balance/1145/1145_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..22327d9e067cdb07d4970e311ad211977f1dd787 --- /dev/null +++ b/new_type_trial_balance/1145/1145_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1145_dirty_2.png", + "labels": [ + { + "text": "Day-Jackson", + "bbox": [ + 171, + 180, + 441, + 225 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $116,624.86", + "bbox": [ + 172, + 392, + 1477, + 424 + ] + }, + { + "text": "Trade Receivables $75,105.53", + "bbox": [ + 172, + 445, + 1477, + 477 + ] + }, + { + "text": "Stock of Goods $67,768.65", + "bbox": [ + 172, + 499, + 1477, + 531 + ] + }, + { + "text": "Fixed Assets $452,019.11", + "bbox": [ + 172, + 552, + 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"values": [ + { + "text": "Cash and Short-Term Investments $116,624.86", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.58460525, + 152.40670650000004 + ] + }, + { + "text": "Trade Receivables $75,105.53", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock of Goods $67,768.65", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.5734077499999, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $452,019.11", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.57410525, + 210.09811275000004 + ] + }, + { + "text": "Trade Payables $48,172.58", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Debts on Notes $156,660.54", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Ordinary Shares $219,490.72", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Sales Revenue $467,854.50", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Compensation Expense $132,254.63", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.571808, + 306.25045650000004 + ] + }, + { + "text": "Lease and Services Expense $33,731.45", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Final Adjusted Total $1,769,682.57", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1165/1165.json b/new_type_trial_balance/1165/1165.json new file mode 100644 index 0000000000000000000000000000000000000000..44dfe7a08104ea35473e5db5d48997f64872e36f --- /dev/null +++ b/new_type_trial_balance/1165/1165.json @@ -0,0 +1,117 @@ +{ + "img_file": 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b/new_type_trial_balance/1165/1165.xlsx differ diff --git a/new_type_trial_balance/1165/1165_dirty_1.json b/new_type_trial_balance/1165/1165_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..e45b5939b80dfdadd5b264fedcadd0f54f6caeb0 --- /dev/null +++ b/new_type_trial_balance/1165/1165_dirty_1.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1165_dirty_1.png", + "labels": [ + { + "text": "Walker-Patton", + "bbox": [ + 162, + 187, + 455, + 234 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $85,354.38", + "bbox": [ + 165, + 399, + 1470, + 443 + ] + }, + { + "text": "Trade Receivables $68,758.91", + "bbox": [ + 165, + 452, + 1471, + 496 + ] + }, + { + "text": "Merchandise Inventory $112,311.31", + "bbox": [ + 166, + 506, + 1471, + 550 + ] + }, + { + "text": "Fixed Assets $229,482.74", + "bbox": [ + 167, + 559, + 1472, + 603 + ] + }, + { + "text": "Trade Payables $24,368.66", + "bbox": [ + 167, + 612, + 1472, + 657 + ] 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$36,611.27", + "bbox": [ + 176, + 867, + 1482, + 911 + ] + }, + { + "text": "Net Adjusted Balance $1,717,659.14", + "bbox": [ + 259, + 923, + 1481, + 966 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1165/1165_dirty_3.json b/new_type_trial_balance/1165/1165_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..9e098e18b40253398533996cf264ec1215b9e4be --- /dev/null +++ b/new_type_trial_balance/1165/1165_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1165_dirty_3.png", + "labels": [ + { + "text": "Walker-Patton", + "bbox": [ + 190, + 167, + 483, + 216 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $85,354.38", + "bbox": [ + 187, + 382, + 1492, + 434 + ] + }, + { + "text": "Trade Receivables $68,758.91", + "bbox": [ + 186, + 435, + 1491, + 487 + ] + }, + { + "text": "Merchandise Inventory $112,311.31", + "bbox": [ + 185, + 489, + 1490, + 541 + ] + }, + { + "text": "Fixed Assets 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b/new_type_trial_balance/1165/1165_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..085266f42b0276a9e1e2f5a8fb4132e3ecc5d47b --- /dev/null +++ b/new_type_trial_balance/1165/1165_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1165.pdf", + "labels": [ + { + "text": "Walker-Patton", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 167.99741325000002, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $85,354.38", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.5734077499999, + 152.40670650000004 + ] + }, + { + "text": "Trade Receivables $68,758.91", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Merchandise Inventory $112,311.31", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.59740175, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $229,482.74", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Trade Payables $24,368.66", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Short-Term Borrowings $153,378.80", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Ordinary Shares $345,217.79", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Sales Revenue $486,558.21", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Personnel Costs $175,617.07", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.571808, + 306.25045650000004 + ] + }, + { + "text": "Operating Expenses $36,611.27", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5862042499999, + 325.48092525000004 + ] + }, + { + "text": "Net Adjusted Balance $1,717,659.14", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1172/1172.json b/new_type_trial_balance/1172/1172.json new file mode 100644 index 0000000000000000000000000000000000000000..8a69fc2b1ac5771ff4ee2ad9363cf18155604b16 --- /dev/null +++ b/new_type_trial_balance/1172/1172.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_1172.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Foster-Gray", + "bbox_px": [ + 179.85, + 175.37, + 428.08, + 220.61 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $73,787.77", + "bbox_px": [ + 178.64, + 390.27, + 1484.02, + 427.29 + ] + }, + { + "text": "Trade Receivables $38,657.49", + "bbox_px": [ + 178.32, + 443.69, + 1483.7, + 480.71 + ] + }, + { + "text": "Merchandise Inventory $80,054.80", + "bbox_px": [ + 178.0, + 497.11, + 1483.38, + 534.12 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Short-Term Investments $73,787.77", + "bbox": [ + 180, + 388, + 1485, + 428 + ] + }, + { + "text": "Trade Receivables $38,657.49", + "bbox": [ + 179, + 441, + 1484, + 481 + ] + }, + { + "text": "Merchandise Inventory $80,054.80", + "bbox": [ + 179, + 495, + 1484, + 535 + ] + }, + { + "text": "Fixed Assets $276,369.43", + "bbox": [ + 178, + 548, + 1484, + 588 + ] + }, + { + "text": "Trade Payables $56,636.74", + "bbox": [ + 178, + 601, + 1483, + 642 + ] + }, + { + "text": "Borrowings $108,441.33", + "bbox": [ + 177, + 655, + 1483, + 695 + ] + }, + { + "text": "Share Capital $275,789.97", + "bbox": [ + 177, + 708, + 1482, + 748 + ] + }, + { + "text": "Sales Revenue $376,769.10", + "bbox": [ + 177, + 762, + 1482, + 802 + ] + }, + { + "text": "Compensation Expense $101,241.77", + "bbox": [ + 176, + 815, + 1481, + 855 + ] + }, + { + "text": "Lease and Operating Expenses $39,162.44", + "bbox": [ + 176, + 869, + 1481, + 909 + ] + }, + { + "text": "Net Adjusted Balance $1,426,910.84", + "bbox": [ + 258, + 925, + 1480, + 964 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1172/1172_dirty_2.json b/new_type_trial_balance/1172/1172_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..024a84e7015524b5db14d045bde1de574e60ec11 --- /dev/null +++ b/new_type_trial_balance/1172/1172_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1172_dirty_2.png", + "labels": [ + { + "text": "Foster-Gray", + "bbox": [ + 163, + 187, + 412, + 233 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $73,787.77", + "bbox": [ + 166, + 402, + 1471, + 444 + ] + }, + { + "text": "Trade Receivables $38,657.49", + "bbox": [ + 166, + 455, + 1471, + 497 + ] + }, + { + "text": "Merchandise Inventory $80,054.80", + "bbox": [ + 167, + 509, + 1472, + 551 + ] + }, + { + "text": "Fixed Assets $276,369.43", + "bbox": [ + 167, + 562, + 1472, + 604 + ] + }, + { + "text": "Trade Payables $56,636.74", + "bbox": [ 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"new_type_trial_balance_1172_dirty_3.png", + "labels": [ + { + "text": "Foster-Gray", + "bbox": [ + 193, + 162, + 442, + 211 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $73,787.77", + "bbox": [ + 189, + 372, + 1494, + 428 + ] + }, + { + "text": "Trade Receivables $38,657.49", + "bbox": [ + 188, + 425, + 1493, + 481 + ] + }, + { + "text": "Merchandise Inventory $80,054.80", + "bbox": [ + 187, + 479, + 1492, + 535 + ] + }, + { + "text": "Fixed Assets $276,369.43", + "bbox": [ + 186, + 532, + 1491, + 588 + ] + }, + { + "text": "Trade Payables $56,636.74", + "bbox": [ + 184, + 585, + 1490, + 642 + ] + }, + { + "text": "Borrowings $108,441.33", + "bbox": [ + 183, + 639, + 1489, + 695 + ] + }, + { + "text": "Share Capital $275,789.97", + "bbox": [ + 182, + 692, + 1488, + 748 + ] + }, + { + "text": "Sales Revenue $376,769.10", + "bbox": [ + 181, + 746, + 1487, + 802 + ] + }, + { + "text": "Compensation Expense $101,241.77", + "bbox": [ + 180, + 799, + 1485, + 855 + ] + }, + { + "text": "Lease and Operating Expenses $39,162.44", + "bbox": [ + 179, + 853, + 1484, + 909 + ] + }, + { + "text": "Net Adjusted Balance $1,426,910.84", + "bbox": [ + 261, + 910, + 1483, + 964 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1172/1172_dirty_4.json b/new_type_trial_balance/1172/1172_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..0e9a3aca1ed2abbb630333f650b0c9cf62393600 --- /dev/null +++ b/new_type_trial_balance/1172/1172_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1172_dirty_4.png", + "labels": [ + { + "text": "Foster-Gray", + "bbox": [ + 154, + 183, + 403, + 232 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $73,787.77", + "bbox": [ + 158, + 368, + 1464, + 422 + ] + }, + { + "text": "Trade Receivables $38,657.49", + "bbox": [ + 159, + 421, + 1465, + 475 + ] + }, + { + "text": "Merchandise Inventory $80,054.80", + "bbox": [ + 161, + 475, + 1466, + 529 + ] + }, + { + "text": "Fixed Assets $276,369.43", + "bbox": [ + 162, + 528, + 1467, + 582 + ] + }, + { + "text": "Trade Payables $56,636.74", + "bbox": [ + 163, + 581, + 1468, + 636 + ] + }, + { + "text": "Borrowings $108,441.33", + "bbox": [ + 164, + 635, + 1469, + 689 + ] + }, + { + "text": "Share Capital $275,789.97", + "bbox": [ + 165, + 688, + 1470, + 742 + ] + }, + { + "text": "Sales Revenue $376,769.10", + "bbox": [ + 166, + 742, + 1471, + 796 + ] + }, + { + "text": "Compensation Expense $101,241.77", + "bbox": [ + 167, + 795, + 1472, + 849 + ] + }, + { + "text": "Lease and Operating Expenses $39,162.44", + "bbox": [ + 168, + 849, + 1473, + 903 + ] + }, + { + "text": "Net Adjusted Balance $1,426,910.84", + "bbox": [ + 252, + 904, + 1474, + 957 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1172/1172_dirty_5.json b/new_type_trial_balance/1172/1172_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..a5c8d9ef74f76935b291eb50f6a3619b4c04515a --- /dev/null +++ b/new_type_trial_balance/1172/1172_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1172_dirty_5.png", + "labels": [ + { + "text": "Foster-Gray", + "bbox": [ + 168, + 178, + 416, + 223 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $73,787.77", + "bbox": [ + 169, + 380, + 1474, + 416 + ] + }, + { + "text": "Trade Receivables $38,657.49", + "bbox": [ + 169, + 433, + 1475, + 469 + ] + }, + { + "text": "Merchandise Inventory $80,054.80", + "bbox": [ + 170, + 487, + 1475, + 523 + ] + }, + { + "text": "Fixed Assets $276,369.43", + "bbox": [ + 170, + 540, + 1475, + 576 + ] + }, + { + "text": "Trade Payables $56,636.74", + "bbox": [ + 170, + 593, + 1475, + 630 + ] + }, + { + "text": "Borrowings $108,441.33", + "bbox": [ + 171, + 647, + 1476, + 683 + ] + }, + { + "text": "Share Capital $275,789.97", + "bbox": [ + 171, + 700, + 1476, + 736 + ] + }, + { + "text": "Sales Revenue $376,769.10", + "bbox": [ + 171, + 754, + 1476, + 790 + ] + }, + { + "text": "Compensation Expense $101,241.77", + "bbox": [ + 172, + 807, + 1477, + 843 + ] + }, + { + "text": "Lease and Operating Expenses $39,162.44", + "bbox": [ + 172, + 861, + 1477, + 897 + ] + }, + { + "text": "Net Adjusted Balance $1,426,910.84", + "bbox": [ + 255, + 917, + 1477, + 953 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1172/1172_pdf.json b/new_type_trial_balance/1172/1172_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..718d4b955258ce937fad48ecd54d3ed9f525a561 --- /dev/null +++ b/new_type_trial_balance/1172/1172_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1172.pdf", + "labels": [ + { + "text": "Foster-Gray", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 151.96391325000002, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $73,787.77", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.5734077499999, + 152.40670650000004 + ] + }, + { + "text": "Trade Receivables $38,657.49", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Merchandise Inventory $80,054.80", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.5734077499999, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $276,369.43", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Trade Payables $56,636.74", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Borrowings $108,441.33", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Share Capital $275,789.97", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Sales Revenue $376,769.10", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Compensation Expense $101,241.77", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.571808, + 306.25045650000004 + ] + }, + { + "text": "Lease and Operating Expenses $39,162.44", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Net Adjusted Balance $1,426,910.84", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1175/1175.json b/new_type_trial_balance/1175/1175.json new file mode 100644 index 0000000000000000000000000000000000000000..be9361dc3288350f5a8f7d59938fe22b28be3bdd --- /dev/null +++ b/new_type_trial_balance/1175/1175.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_1175.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Green LLC", + "bbox_px": [ + 149.01, + 190.6, + 373.7, + 240.06 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $54,470.75", + "bbox_px": [ + 154.51, + 377.73, + 1460.05, + 440.32 + ] + }, + { + "text": "Outstanding Receivables $88,884.47", + "bbox_px": [ + 155.88, + 431.13, + 1461.42, + 493.72 + ] + }, + { + "text": "Stock on Hand $71,383.42", + "bbox_px": [ + 157.25, + 484.53, + 1462.79, + 547.12 + ] + }, + { + "text": "Fixed Assets $433,629.17", + "bbox_px": [ + 158.62, + 537.93, + 1464.15, + 600.52 + ] + }, + { + "text": "Vendor Liabilities $46,820.17", + "bbox_px": [ + 159.99, + 591.33, + 1465.53, + 653.92 + ] + }, + { + "text": "Debt Instruments $105,736.87", + "bbox_px": [ + 161.35, + 644.73, + 1466.89, + 707.32 + ] + }, + { + "text": "Equity Shares $341,215.81", + "bbox_px": [ + 162.72, + 698.13, + 1468.26, + 760.73 + ] + }, + { + "text": "Income $409,679.54", + "bbox_px": [ + 164.09, + 751.53, + 1469.63, + 814.13 + ] + }, + { + "text": "Compensation Costs $113,396.99", + "bbox_px": [ + 165.46, + 804.93, + 1471.03, + 867.53 + ] + }, + { + "text": "Lease and Utility Charges $28,827.77", + "bbox_px": [ + 166.83, + 858.33, + 1472.37, + 920.93 + ] + }, + { + "text": "Net Adjusted Position $1,694,044.96", + "bbox_px": [ + 251.56, + 913.81, + 1473.79, + 974.27 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1175/1175.pdf b/new_type_trial_balance/1175/1175.pdf new file mode 100644 index 0000000000000000000000000000000000000000..798c7da49e994ac940b159c61b011bf451f7cc1e Binary files /dev/null and b/new_type_trial_balance/1175/1175.pdf differ diff --git a/new_type_trial_balance/1175/1175.xlsx b/new_type_trial_balance/1175/1175.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..d85ec9b01f2b83e260ed48f8fcb6bcf52ff78d58 Binary files /dev/null and b/new_type_trial_balance/1175/1175.xlsx differ diff --git a/new_type_trial_balance/1175/1175_dirty_1.json b/new_type_trial_balance/1175/1175_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..643e2b950dc3967c08fb44de5b89a91d222d3d10 --- /dev/null +++ b/new_type_trial_balance/1175/1175_dirty_1.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1175_dirty_1.png", + "labels": [ + { + "text": "Green LLC", + "bbox": [ + 161, + 184, + 384, + 231 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $54,470.75", + "bbox": [ + 163, + 385, + 1469, + 431 + ] + }, + { + "text": "Outstanding Receivables $88,884.47", + "bbox": [ + 164, + 438, + 1469, + 484 + ] + }, + { + "text": "Stock on Hand $71,383.42", + "bbox": [ + 165, + 492, + 1470, + 538 + ] + }, + { + "text": "Fixed Assets $433,629.17", + "bbox": [ + 165, + 545, + 1471, + 591 + ] + }, + { + "text": "Vendor Liabilities $46,820.17", + "bbox": [ + 166, + 598, + 1471, + 645 + ] + }, + { + "text": "Debt Instruments $105,736.87", + "bbox": [ + 167, + 652, + 1472, + 698 + ] + }, + { + "text": "Equity Shares $341,215.81", + "bbox": [ + 168, + 705, + 1473, + 751 + ] + }, + { + "text": "Income $409,679.54", + "bbox": [ + 168, + 759, + 1474, + 805 + ] + }, + { + "text": "Compensation Costs $113,396.99", + "bbox": [ + 169, + 812, + 1474, + 858 + ] + }, + { + "text": "Lease and Utility Charges $28,827.77", + "bbox": [ + 170, + 866, + 1475, + 912 + ] + }, + { + "text": "Net Adjusted Position $1,694,044.96", + "bbox": [ + 253, + 921, + 1476, + 966 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1175/1175_dirty_2.json b/new_type_trial_balance/1175/1175_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..463aa66d92bf73212f9e24eebd1d3bb8aaa1a6ab --- /dev/null +++ b/new_type_trial_balance/1175/1175_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1175_dirty_2.png", + "labels": [ + { + "text": "Green LLC", + "bbox": [ + 186, + 174, + 410, + 221 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $54,470.75", + "bbox": [ + 183, + 400, + 1489, + 446 + ] + }, + { + "text": "Outstanding Receivables $88,884.47", + "bbox": [ + 183, + 453, + 1488, + 499 + ] + }, + { + "text": "Stock on Hand $71,383.42", + "bbox": [ + 182, + 507, + 1487, + 553 + ] + }, + { + "text": "Fixed Assets $433,629.17", + "bbox": [ + 181, + 560, + 1487, + 606 + ] + }, + { + "text": "Vendor Liabilities $46,820.17", + "bbox": [ + 181, + 613, + 1486, + 660 + ] + }, + { + "text": "Debt Instruments $105,736.87", + "bbox": [ + 180, + 667, + 1485, + 713 + ] + }, + { + "text": "Equity Shares $341,215.81", + "bbox": [ + 179, + 720, + 1485, + 766 + ] + }, + { + "text": "Income $409,679.54", + "bbox": [ + 179, + 774, + 1484, + 820 + ] + }, + { + "text": "Compensation Costs $113,396.99", + "bbox": [ + 178, + 827, + 1483, + 873 + ] + }, + { + "text": "Lease and Utility Charges $28,827.77", + "bbox": [ + 177, + 881, + 1482, + 927 + ] + }, + { + "text": "Net Adjusted Position $1,694,044.96", + "bbox": [ + 259, + 936, + 1482, + 981 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1175/1175_dirty_3.json b/new_type_trial_balance/1175/1175_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..648376d78dd9a862b2a0f2057d52aae8a939b017 --- /dev/null +++ b/new_type_trial_balance/1175/1175_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1175_dirty_3.png", + "labels": [ + { + "text": "Green LLC", + "bbox": [ + 172, + 179, + 395, + 224 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $54,470.75", + "bbox": [ + 172, + 392, + 1477, + 424 + ] + }, + { + "text": "Outstanding Receivables $88,884.47", + "bbox": [ + 172, + 445, + 1477, + 477 + ] + }, + { + "text": "Stock on Hand $71,383.42", + "bbox": [ + 172, + 499, + 1477, + 531 + ] + }, + { + "text": "Fixed Assets $433,629.17", + "bbox": [ + 172, + 552, + 1478, + 584 + ] + }, + { + "text": "Vendor Liabilities $46,820.17", + "bbox": [ + 173, + 605, + 1478, + 638 + ] + }, + { + "text": "Debt Instruments $105,736.87", + "bbox": [ + 173, + 659, + 1478, + 691 + ] + }, + { + "text": "Equity Shares $341,215.81", + "bbox": [ + 173, + 712, + 1478, + 744 + ] + }, + { + "text": "Income $409,679.54", + "bbox": [ + 173, + 766, + 1478, + 798 + ] + }, + { + "text": "Compensation Costs $113,396.99", + "bbox": [ + 173, + 819, + 1478, + 851 + ] + }, + { + "text": "Lease and Utility Charges $28,827.77", + "bbox": [ + 173, + 873, + 1478, + 905 + ] + }, + { + "text": "Net Adjusted Position $1,694,044.96", + "bbox": [ + 256, + 928, + 1478, + 959 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1175/1175_dirty_4.json b/new_type_trial_balance/1175/1175_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..b4e9a3123d6b183bab82b26b7883c591dfa0ef50 --- /dev/null +++ b/new_type_trial_balance/1175/1175_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1175_dirty_4.png", + "labels": [ + { + "text": "Green LLC", + "bbox": [ + 157, + 186, + 381, + 233 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $54,470.75", + "bbox": [ + 161, + 383, + 1466, + 433 + ] + }, + { + "text": "Outstanding Receivables $88,884.47", + "bbox": [ + 162, + 436, + 1467, + 486 + ] + }, + { + "text": "Stock on Hand $71,383.42", + "bbox": [ + 163, + 490, + 1468, + 540 + ] + }, + { + "text": "Fixed Assets $433,629.17", + "bbox": [ + 163, + 543, + 1469, + 593 + ] + }, + { + "text": "Vendor Liabilities $46,820.17", + "bbox": [ + 164, + 596, + 1470, + 647 + ] + }, + { + "text": "Debt Instruments $105,736.87", + "bbox": [ + 165, + 650, + 1471, + 700 + ] + }, + { + "text": "Equity Shares $341,215.81", + "bbox": [ + 166, + 703, + 1471, + 753 + ] + }, + { + "text": "Income $409,679.54", + "bbox": [ + 167, + 757, + 1472, + 807 + ] + }, + { + "text": "Compensation Costs $113,396.99", + "bbox": [ + 168, + 810, + 1473, + 860 + ] + }, + { + "text": "Lease and Utility Charges $28,827.77", + "bbox": [ + 169, + 864, + 1474, + 914 + ] + }, + { + "text": "Net Adjusted Position $1,694,044.96", + "bbox": [ + 253, + 919, + 1475, + 968 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1175/1175_dirty_5.json b/new_type_trial_balance/1175/1175_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..f2895759bcc88e0c88ed61fe3f0bc15058683f68 --- /dev/null +++ b/new_type_trial_balance/1175/1175_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1175_dirty_5.png", + "labels": [ + { + "text": "Green LLC", + "bbox": [ + 162, + 181, + 386, + 227 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $54,470.75", + "bbox": [ + 165, + 376, + 1470, + 420 + ] + }, + { + "text": "Outstanding Receivables $88,884.47", + "bbox": [ + 165, + 429, + 1470, + 473 + ] + }, + { + "text": "Stock on Hand $71,383.42", + "bbox": [ + 166, + 483, + 1471, + 527 + ] + }, + { + "text": "Fixed Assets $433,629.17", + "bbox": [ + 166, + 536, + 1472, + 580 + ] + }, + { + "text": "Vendor Liabilities $46,820.17", + "bbox": [ + 167, + 589, + 1472, + 634 + ] + }, + { + "text": "Debt Instruments $105,736.87", + "bbox": [ + 168, + 643, + 1473, + 687 + ] + }, + { + "text": "Equity Shares $341,215.81", + "bbox": [ + 168, + 696, + 1474, + 740 + ] + }, + { + "text": "Income $409,679.54", + "bbox": [ + 169, + 750, + 1474, + 794 + ] + }, + { + "text": "Compensation Costs $113,396.99", + "bbox": [ + 170, + 803, + 1475, + 847 + ] + }, + { + "text": "Lease and Utility Charges $28,827.77", + "bbox": [ + 170, + 857, + 1475, + 901 + ] + }, + { + "text": "Net Adjusted Position $1,694,044.96", + "bbox": [ + 254, + 912, + 1476, + 955 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1175/1175_pdf.json b/new_type_trial_balance/1175/1175_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..9a1e8433487dbfc98612956d063daa71ec84de39 --- /dev/null +++ b/new_type_trial_balance/1175/1175_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1175.pdf", + "labels": [ + { + "text": "Green LLC", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 143.20691325, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $54,470.75", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.5734077499999, + 152.40670650000004 + ] + }, + { + "text": "Outstanding Receivables $88,884.47", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock on Hand $71,383.42", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.5734077499999, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $433,629.17", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Vendor Liabilities $46,820.17", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Debt Instruments $105,736.87", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Equity Shares $341,215.81", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Income $409,679.54", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Compensation Costs $113,396.99", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.58460525, + 306.25045650000004 + ] + }, + { + "text": "Lease and Utility Charges $28,827.77", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Net Adjusted Position $1,694,044.96", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1188/1188.json b/new_type_trial_balance/1188/1188.json new file mode 100644 index 0000000000000000000000000000000000000000..b3662bbcb39370e580fcfbb4dccfd587ff276fae --- /dev/null +++ b/new_type_trial_balance/1188/1188.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_1188.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Weber, Snyder and Villanueva", + "bbox_px": [ + 165.07, + 179.61, + 786.39, + 229.07 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $76,030.92", + "bbox_px": [ + 167.05, + 388.22, + 1472.49, + 429.39 + ] + }, + { + "text": "Trade Receivables $59,258.72", + "bbox_px": [ + 167.54, + 441.63, + 1472.98, + 482.8 + ] + }, + { + "text": "Merchandise Inventory $115,717.85", + "bbox_px": [ + 168.03, + 495.05, + 1473.5, + 536.22 + ] + }, + { + "text": "Fixed Assets $280,949.68", + "bbox_px": [ + 168.52, + 548.47, + 1473.95, + 589.63 + ] + }, + { + "text": "Trade Payables $62,199.99", + "bbox_px": [ + 169.01, + 601.88, + 1474.45, + 643.05 + ] + }, + { + "text": "Short-Term Borrowings $161,287.62", + "bbox_px": [ + 169.51, + 655.3, + 1474.94, + 696.47 + ] + }, + { + "text": "Ordinary Shares $235,260.53", + "bbox_px": [ + 170.0, + 708.71, + 1475.43, + 749.88 + ] + }, + { + "text": "Sales Revenue $522,026.44", + "bbox_px": [ + 170.49, + 762.13, + 1475.92, + 803.3 + ] + }, + { + "text": "Compensation Expense $92,275.28", + "bbox_px": [ + 170.98, + 815.54, + 1476.42, + 856.71 + ] + }, + { + "text": "Facilities and Utilities Expense $33,796.82", + "bbox_px": [ + 171.47, + 868.96, + 1476.91, + 910.13 + ] + }, + { + "text": "Net Adjusted Balance $1,638,803.85", + "bbox_px": [ + 255.31, + 924.46, + 1477.41, + 964.86 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1188/1188.pdf b/new_type_trial_balance/1188/1188.pdf new file mode 100644 index 0000000000000000000000000000000000000000..d3f9f4b0282cd5ffe249d919f05dda21850b981e Binary files /dev/null and b/new_type_trial_balance/1188/1188.pdf differ diff --git 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$115,717.85", + "bbox": [ + 163, + 490, + 1468, + 540 + ] + }, + { + "text": "Fixed Assets $280,949.68", + "bbox": [ + 164, + 543, + 1469, + 593 + ] + }, + { + "text": "Trade Payables $62,199.99", + "bbox": [ + 165, + 596, + 1470, + 647 + ] + }, + { + "text": "Short-Term Borrowings $161,287.62", + "bbox": [ + 165, + 650, + 1471, + 700 + ] + }, + { + "text": "Ordinary Shares $235,260.53", + "bbox": [ + 166, + 703, + 1472, + 753 + ] + }, + { + "text": "Sales Revenue $522,026.44", + "bbox": [ + 167, + 757, + 1472, + 807 + ] + }, + { + "text": "Compensation Expense $92,275.28", + "bbox": [ + 168, + 810, + 1473, + 860 + ] + }, + { + "text": "Facilities and Utilities Expense $33,796.82", + "bbox": [ + 169, + 864, + 1474, + 914 + ] + }, + { + "text": "Net Adjusted Balance $1,638,803.85", + "bbox": [ + 253, + 919, + 1475, + 968 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1188/1188_dirty_2.json b/new_type_trial_balance/1188/1188_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..65d0c6e27532aa1bb11fcea3c3795d471c0c6729 --- /dev/null +++ b/new_type_trial_balance/1188/1188_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1188_dirty_2.png", + "labels": [ + { + "text": "Weber, Snyder and Villanueva", + "bbox": [ + 191, + 155, + 812, + 210 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $76,030.92", + "bbox": [ + 187, + 364, + 1492, + 416 + ] + }, + { + "text": "Trade Receivables $59,258.72", + "bbox": [ + 186, + 417, + 1491, + 469 + ] + }, + { + "text": "Merchandise Inventory $115,717.85", + "bbox": [ + 185, + 471, + 1490, + 523 + ] + }, + { + "text": "Fixed Assets $280,949.68", + "bbox": [ + 184, + 524, + 1489, + 576 + ] + }, + { + "text": "Trade Payables $62,199.99", + "bbox": [ + 183, + 577, + 1488, + 630 + ] + }, + { + "text": "Short-Term Borrowings $161,287.62", + "bbox": [ + 182, + 631, + 1488, + 683 + ] + }, + { + "text": "Ordinary Shares $235,260.53", + "bbox": [ + 181, + 684, + 1487, + 736 + ] + }, + { + "text": "Sales Revenue $522,026.44", + "bbox": [ + 180, + 738, + 1486, + 790 + ] + }, + { + "text": "Compensation Expense $92,275.28", + "bbox": [ + 179, + 791, + 1485, + 843 + ] + }, + { + "text": "Facilities and Utilities Expense $33,796.82", + "bbox": [ + 178, + 845, + 1484, + 897 + ] + }, + { + "text": "Net Adjusted Balance $1,638,803.85", + "bbox": [ + 260, + 901, + 1483, + 952 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1188/1188_dirty_3.json b/new_type_trial_balance/1188/1188_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..8e1c21975b79b3e3a2cd1e2e1edeb1e72a3df830 --- /dev/null +++ b/new_type_trial_balance/1188/1188_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1188_dirty_3.png", + "labels": [ + { + "text": "Weber, Snyder and Villanueva", + "bbox": [ + 175, + 177, + 796, + 222 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $76,030.92", + "bbox": [ + 175, + 392, + 1480, + 424 + ] + }, + { + "text": "Trade Receivables $59,258.72", + "bbox": [ + 175, + 445, + 1480, + 477 + ] + }, + { + "text": "Merchandise Inventory $115,717.85", + "bbox": [ + 175, + 499, + 1480, + 531 + ] + }, + { + "text": "Fixed Assets $280,949.68", + "bbox": [ + 175, + 552, + 1480, + 584 + ] + }, + { + "text": "Trade Payables $62,199.99", + "bbox": [ + 175, + 605, + 1480, + 638 + ] + }, + { + "text": "Short-Term Borrowings $161,287.62", + "bbox": [ + 174, + 659, + 1479, + 691 + ] + }, + { + "text": "Ordinary Shares $235,260.53", + "bbox": [ + 174, + 712, + 1479, + 744 + ] + }, + { + "text": "Sales Revenue $522,026.44", + "bbox": [ + 174, + 766, + 1479, + 798 + ] + }, + { + "text": "Compensation Expense $92,275.28", + "bbox": [ + 174, + 819, + 1479, + 851 + ] + }, + { + "text": "Facilities and Utilities Expense $33,796.82", + "bbox": [ + 174, + 873, + 1479, + 905 + ] + }, + { + "text": "Net Adjusted Balance $1,638,803.85", + "bbox": [ + 257, + 928, + 1479, + 960 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1188/1188_dirty_4.json b/new_type_trial_balance/1188/1188_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..6665c1af0954beb70130a225aeca5a8122b21e38 --- /dev/null +++ b/new_type_trial_balance/1188/1188_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1188_dirty_4.png", + "labels": [ + { + "text": "Weber, Snyder and Villanueva", + "bbox": [ + 169, + 187, + 790, + 234 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $76,030.92", + "bbox": [ + 170, + 403, + 1475, + 439 + ] + }, + { + "text": "Trade Receivables $59,258.72", + "bbox": [ + 170, + 456, + 1475, + 492 + ] + }, + { + "text": "Merchandise Inventory $115,717.85", + "bbox": [ + 170, + 510, + 1475, + 546 + ] + }, + { + "text": "Fixed Assets $280,949.68", + "bbox": [ + 171, + 563, + 1476, + 599 + ] + }, + { + "text": "Trade Payables $62,199.99", + "bbox": [ + 171, + 616, + 1476, + 653 + ] + }, + { + "text": "Short-Term Borrowings $161,287.62", + "bbox": [ + 171, + 670, + 1476, + 706 + ] + }, + { + "text": "Ordinary Shares $235,260.53", + "bbox": [ + 171, + 723, + 1476, + 759 + ] + }, + { + "text": "Sales Revenue $522,026.44", + "bbox": [ + 172, + 777, + 1477, + 813 + ] + }, + { + "text": "Compensation Expense $92,275.28", + "bbox": [ + 172, + 830, + 1477, + 866 + ] + }, + { + "text": "Facilities and Utilities Expense $33,796.82", + "bbox": [ + 172, + 884, + 1477, + 920 + ] + }, + { + "text": "Net Adjusted Balance $1,638,803.85", + "bbox": [ + 255, + 939, + 1477, + 974 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1188/1188_dirty_5.json b/new_type_trial_balance/1188/1188_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..9122f04603478ec435353e8265c504223b49f357 --- /dev/null +++ b/new_type_trial_balance/1188/1188_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1188_dirty_5.png", + "labels": [ + { + "text": "Weber, Snyder and Villanueva", + "bbox": [ + 177, + 176, + 798, + 222 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $76,030.92", + "bbox": [ + 176, + 391, + 1481, + 425 + ] + }, + { + "text": "Trade Receivables $59,258.72", + "bbox": [ + 176, + 444, + 1481, + 478 + ] + }, + { + "text": "Merchandise Inventory $115,717.85", + "bbox": [ + 176, + 498, + 1481, + 532 + ] + }, + { + "text": "Fixed Assets $280,949.68", + "bbox": [ + 176, + 551, + 1481, + 585 + ] + }, + { + "text": "Trade Payables $62,199.99", + "bbox": [ + 175, + 604, + 1480, + 639 + ] + }, + { + "text": "Short-Term Borrowings $161,287.62", + "bbox": [ + 175, + 658, + 1480, + 692 + ] + }, + { + "text": "Ordinary Shares $235,260.53", + "bbox": [ + 175, + 711, + 1480, + 745 + ] + }, + { + "text": "Sales Revenue $522,026.44", + "bbox": [ + 175, + 765, + 1480, + 799 + ] + }, + { + "text": "Compensation Expense $92,275.28", + "bbox": [ + 175, + 818, + 1480, + 852 + ] + }, + { + "text": "Facilities and Utilities Expense $33,796.82", + "bbox": [ + 174, + 872, + 1480, + 906 + ] + }, + { + "text": "Net Adjusted Balance $1,638,803.85", + "bbox": [ + 257, + 927, + 1479, + 961 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1188/1188_pdf.json b/new_type_trial_balance/1188/1188_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..28809a8c323d780471239b66c36d5c0b62e87faf --- /dev/null +++ b/new_type_trial_balance/1188/1188_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1188.pdf", + "labels": [ + { + "text": "Weber, Snyder and Villanueva", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 286.23266325, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $76,030.92", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.5734077499999, + 152.40670650000004 + ] + }, + { + "text": "Trade Receivables $59,258.72", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Merchandise Inventory $115,717.85", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.58460525, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $280,949.68", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Trade Payables $62,199.99", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Short-Term Borrowings $161,287.62", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Ordinary Shares $235,260.53", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Sales Revenue $522,026.44", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Compensation Expense $92,275.28", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.5734077499999, + 306.25045650000004 + ] + }, + { + "text": "Facilities and Utilities Expense $33,796.82", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Net Adjusted Balance $1,638,803.85", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1225/1225.json b/new_type_trial_balance/1225/1225.json new file mode 100644 index 0000000000000000000000000000000000000000..0841e8e20f28bb558aa4880ca36a3fe698712435 --- /dev/null +++ b/new_type_trial_balance/1225/1225.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_1225.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Nguyen, Stanley and Thomas", + "bbox_px": [ + 162.59, + 179.85, + 773.29, + 230.75 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $121,827.47", + "bbox_px": [ + 165.11, + 386.59, + 1470.58, + 431.06 + ] + }, + { + "text": "Outstanding Receivables $81,398.30", + "bbox_px": [ + 165.74, + 440.01, + 1471.21, + 484.47 + ] + }, + { + "text": "Stock on Hand $100,637.97", + "bbox_px": [ + 166.36, + 493.42, + 1471.83, + 537.88 + ] + }, + { + "text": "Fixed Assets $244,094.76", + "bbox_px": [ + 166.99, + 546.83, + 1472.46, + 591.3 + ] + }, + { + "text": "Pending Liabilities $68,561.73", + "bbox_px": [ + 167.61, + 600.25, + 1473.09, + 644.71 + ] + }, + { + "text": "Borrowings Due $217,620.38", + "bbox_px": [ + 168.24, + 653.66, + 1473.71, + 698.13 + ] + }, + { + "text": "Equity Shares $344,022.87", + "bbox_px": [ + 168.87, + 707.08, + 1474.34, + 751.54 + ] + }, + { + "text": "Income $253,098.73", + "bbox_px": [ + 169.49, + 760.49, + 1474.96, + 804.96 + ] + }, + { + "text": "Compensation Costs $119,377.67", + "bbox_px": [ + 170.12, + 813.91, + 1475.63, + 858.37 + ] + }, + { + "text": "Facility and Utility Charges $46,829.17", + "bbox_px": [ + 170.75, + 867.32, + 1476.22, + 911.78 + ] + }, + { + "text": "Net Adjusted Balance $1,597,469.05", + "bbox_px": [ + 254.72, + 922.82, + 1476.87, + 966.31 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1225/1225.pdf b/new_type_trial_balance/1225/1225.pdf new file mode 100644 index 0000000000000000000000000000000000000000..efde165ded1ce5fe604815fd34eb11c9cc98b588 Binary files /dev/null and b/new_type_trial_balance/1225/1225.pdf differ diff --git a/new_type_trial_balance/1225/1225.xlsx b/new_type_trial_balance/1225/1225.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..c55ab14245c41486e25db4d1878692cc23e48353 Binary files /dev/null and b/new_type_trial_balance/1225/1225.xlsx differ diff --git a/new_type_trial_balance/1225/1225_dirty_1.json b/new_type_trial_balance/1225/1225_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..793e913e4ce35298d7549637769f68da4912fbf8 --- /dev/null +++ b/new_type_trial_balance/1225/1225_dirty_1.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1225_dirty_1.png", + "labels": [ + { + "text": "Nguyen, Stanley and Thomas", + "bbox": [ + 183, + 171, + 794, + 221 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $121,827.47", + "bbox": [ + 181, + 387, + 1486, + 429 + ] + }, + { + "text": "Outstanding Receivables $81,398.30", + "bbox": [ + 181, + 440, + 1486, + 482 + ] + }, + { + "text": "Stock on Hand $100,637.97", + "bbox": [ + 180, + 494, + 1485, + 536 + ] + }, + { + "text": "Fixed Assets $244,094.76", + "bbox": [ + 179, + 547, + 1485, + 589 + ] + }, + { + "text": "Pending Liabilities $68,561.73", + "bbox": [ + 179, + 600, + 1484, + 643 + ] + }, + { + "text": "Borrowings Due $217,620.38", + "bbox": [ + 178, + 654, + 1484, + 696 + ] + }, + { + "text": "Equity Shares $344,022.87", + "bbox": [ + 178, + 707, + 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newline at end of file diff --git a/new_type_trial_balance/1225/1225_dirty_3.json b/new_type_trial_balance/1225/1225_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..47ff09dd78a6db2fed099d8109857ccbd91f1ed8 --- /dev/null +++ b/new_type_trial_balance/1225/1225_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1225_dirty_3.png", + "labels": [ + { + "text": "Nguyen, Stanley and Thomas", + "bbox": [ + 183, + 172, + 794, + 222 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $121,827.47", + "bbox": [ + 181, + 387, + 1486, + 429 + ] + }, + { + "text": "Outstanding Receivables $81,398.30", + "bbox": [ + 181, + 440, + 1486, + 482 + ] + }, + { + "text": "Stock on Hand $100,637.97", + "bbox": [ + 180, + 494, + 1485, + 536 + ] + }, + { + "text": "Fixed Assets $244,094.76", + "bbox": [ + 180, + 547, + 1485, + 589 + ] + }, + { + "text": "Pending Liabilities $68,561.73", + "bbox": [ + 179, + 600, + 1484, + 643 + ] + }, + { + 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Stanley and Thomas", + "bbox": [ + 173, + 179, + 783, + 223 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $121,827.47", + "bbox": [ + 173, + 393, + 1478, + 423 + ] + }, + { + "text": "Outstanding Receivables $81,398.30", + "bbox": [ + 173, + 446, + 1478, + 476 + ] + }, + { + "text": "Stock on Hand $100,637.97", + "bbox": [ + 173, + 500, + 1478, + 530 + ] + }, + { + "text": "Fixed Assets $244,094.76", + "bbox": [ + 173, + 553, + 1478, + 583 + ] + }, + { + "text": "Pending Liabilities $68,561.73", + "bbox": [ + 173, + 606, + 1478, + 637 + ] + }, + { + "text": "Borrowings Due $217,620.38", + "bbox": [ + 173, + 660, + 1478, + 690 + ] + }, + { + "text": "Equity Shares $344,022.87", + "bbox": [ + 173, + 713, + 1478, + 743 + ] + }, + { + "text": "Income $253,098.73", + "bbox": [ + 173, + 767, + 1478, + 797 + ] + }, + { + "text": "Compensation Costs $119,377.67", + "bbox": [ + 173, + 820, + 1478, + 850 + ] + }, + { + "text": "Facility and Utility Charges $46,829.17", + 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b/new_type_trial_balance/1225/1225_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1225.pdf", + "labels": [ + { + "text": "Nguyen, Stanley and Thomas", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 282.37391324999993, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $121,827.47", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.571808, + 152.40670650000004 + ] + }, + { + "text": "Outstanding Receivables $81,398.30", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock on Hand $100,637.97", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.571808, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $244,094.76", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Pending Liabilities $68,561.73", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 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Balance $1,568,864.82", + "bbox": [ + 260, + 911, + 1482, + 960 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1256/1256_dirty_4.json b/new_type_trial_balance/1256/1256_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..58611bbaec1f8859317c08afce05b743cf06bfb8 --- /dev/null +++ b/new_type_trial_balance/1256/1256_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1256_dirty_4.png", + "labels": [ + { + "text": "Parsons Inc", + "bbox": [ + 188, + 163, + 437, + 211 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $66,258.59", + "bbox": [ + 185, + 368, + 1491, + 418 + ] + }, + { + "text": "Customer Receivables $86,522.04", + "bbox": [ + 184, + 421, + 1490, + 471 + ] + }, + { + "text": "Stock on Hand $45,642.93", + "bbox": [ + 184, + 475, + 1489, + 525 + ] + }, + { + "text": "Fixed Assets and Property $435,664.04", + "bbox": [ + 183, + 528, + 1488, + 578 + ] + }, + { + "text": "Vendor Payables $66,030.35", + "bbox": [ + 182, + 581, + 1487, + 632 + ] + }, + { + "text": "Promissory Notes Payable $171,501.87", + "bbox": [ + 181, + 635, + 1486, + 685 + ] + }, + { + "text": "Ordinary Shares $209,467.57", + "bbox": [ + 180, + 688, + 1486, + 738 + ] + }, + { + "text": "Sales Revenue $359,701.43", + "bbox": [ + 179, + 742, + 1485, + 792 + ] + }, + { + "text": "Compensation Expense $96,775.65", + "bbox": [ + 179, + 795, + 1484, + 845 + ] + }, + { + "text": "Lease and Utility Costs $31,300.35", + "bbox": [ + 178, + 849, + 1483, + 899 + ] + }, + { + "text": "Adjusted Final Balance $1,568,864.82", + "bbox": [ + 260, + 907, + 1482, + 955 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1256/1256_dirty_5.json b/new_type_trial_balance/1256/1256_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..41e966bda77910759743514d89c177f67132c1d4 --- /dev/null +++ b/new_type_trial_balance/1256/1256_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1256_dirty_5.png", + "labels": [ + { + "text": "Parsons Inc", + "bbox": [ + 161, + 186, + 410, + 233 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $66,258.59", + "bbox": [ + 164, + 395, + 1469, + 440 + ] + }, + { + "text": "Customer Receivables $86,522.04", + "bbox": [ + 165, + 448, + 1470, + 493 + ] + }, + { + "text": "Stock on Hand $45,642.93", + "bbox": [ + 165, + 502, + 1471, + 547 + ] + }, + { + "text": "Fixed Assets and Property $435,664.04", + "bbox": [ + 166, + 555, + 1471, + 600 + ] + }, + { + "text": "Vendor Payables $66,030.35", + "bbox": [ + 167, + 608, + 1472, + 654 + ] + }, + { + "text": "Promissory Notes Payable $171,501.87", + "bbox": [ + 167, + 662, + 1473, + 707 + ] + }, + { + "text": "Ordinary Shares $209,467.57", + "bbox": [ + 168, + 715, + 1473, + 760 + ] + }, + { + "text": "Sales Revenue $359,701.43", + "bbox": [ + 169, + 769, + 1474, + 814 + ] + }, + { + "text": "Compensation Expense $96,775.65", + "bbox": [ + 169, + 822, + 1475, + 867 + ] + }, + { + "text": "Lease and Utility Costs $31,300.35", + "bbox": [ + 170, + 876, + 1475, + 921 + ] + }, + { + "text": "Adjusted Final Balance $1,568,864.82", + "bbox": [ + 254, + 931, + 1476, + 974 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1256/1256_pdf.json b/new_type_trial_balance/1256/1256_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..815a198e26959f0b8d7f1382cf8224f576c6f691 --- /dev/null +++ b/new_type_trial_balance/1256/1256_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1256.pdf", + "labels": [ + { + "text": "Parsons Inc", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 151.97966325000002, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $66,258.59", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.5734077499999, + 152.40670650000004 + ] + }, + { + "text": "Customer Receivables $86,522.04", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock on Hand $45,642.93", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.5734077499999, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets and Property $435,664.04", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Vendor Payables $66,030.35", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Promissory Notes Payable $171,501.87", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Ordinary Shares $209,467.57", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Sales Revenue $359,701.43", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Compensation Expense $96,775.65", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.5734077499999, + 306.25045650000004 + ] + }, + { + "text": "Lease and Utility Costs $31,300.35", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Adjusted Final Balance $1,568,864.82", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/127/127.json b/new_type_trial_balance/127/127.json new file mode 100644 index 0000000000000000000000000000000000000000..1b892ec94fa17a16d2976f714579e6239598d018 --- /dev/null +++ b/new_type_trial_balance/127/127.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_127.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Sanchez-Mcdaniel", + "bbox_px": [ + 195.31, + 165.03, + 575.46, + 217.19 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $140,153.70", + "bbox_px": [ + 190.86, + 379.88, + 1496.41, + 438.02 + ] + }, + { + "text": "Trade Receivables $89,869.65", + "bbox_px": [ + 189.68, + 433.29, + 1495.23, + 491.42 + ] + }, + { + "text": "Stock of Goods $90,616.20", + "bbox_px": [ + 188.49, + 486.69, + 1494.04, + 544.83 + ] + }, + { + "text": "Fixed Assets $374,434.59", + "bbox_px": [ + 187.3, + 540.1, + 1492.85, + 598.23 + ] + }, + { + "text": "Trade Payables $64,224.79", + "bbox_px": [ + 186.12, + 593.5, + 1491.67, + 651.64 + ] + }, + { + "text": "Debts on Notes $191,442.82", + "bbox_px": [ + 184.93, + 646.91, + 1490.48, + 705.04 + ] + }, + { + "text": "Ordinary Shares $323,459.49", + "bbox_px": [ + 183.75, + 700.31, + 1489.29, + 758.45 + ] + }, + { + "text": "Sales Income $519,321.80", + "bbox_px": [ + 182.56, + 753.72, + 1488.11, + 811.85 + ] + }, + { + "text": "Compensation Costs $177,615.69", + "bbox_px": [ + 181.37, + 807.12, + 1486.92, + 865.26 + ] + }, + { + "text": "Lease and Services Costs $33,985.68", + "bbox_px": [ + 180.19, + 860.52, + 1485.74, + 918.66 + ] + }, + { + "text": "Final Balanced Total $2,005,124.41", + "bbox_px": [ + 262.27, + 917.86, + 1484.5, + 974.15 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/127/127.pdf b/new_type_trial_balance/127/127.pdf new file mode 100644 index 0000000000000000000000000000000000000000..32f52042afb1ec20eb141a064052810dec27e7de Binary files /dev/null and b/new_type_trial_balance/127/127.pdf differ diff --git a/new_type_trial_balance/127/127.xlsx b/new_type_trial_balance/127/127.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..59f349f8a3211c2f3da4fca34852bbc5cf9e4ce9 Binary files /dev/null and b/new_type_trial_balance/127/127.xlsx differ diff --git a/new_type_trial_balance/127/127_dirty_1.json b/new_type_trial_balance/127/127_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..d6f172f3ec44f397205e5d5b442eaf0ee6e3acd3 --- /dev/null +++ b/new_type_trial_balance/127/127_dirty_1.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_127_dirty_1.png", + "labels": [ + { + "text": "Sanchez-Mcdaniel", + "bbox": [ + 153, + 184, + 533, + 236 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $140,153.70", + "bbox": [ + 158, + 380, + 1463, + 436 + ] + }, + { + "text": "Trade Receivables $89,869.65", + "bbox": [ + 159, + 433, + 1464, + 489 + ] + }, + { + "text": "Stock of Goods $90,616.20", + "bbox": [ + 160, + 487, + 1465, + 543 + ] + }, + { + "text": "Fixed Assets $374,434.59", + "bbox": [ + 161, + 540, + 1466, + 596 + ] + }, + { + "text": "Trade Payables $64,224.79", + "bbox": [ + 162, + 593, + 1467, + 650 + ] + }, + { + "text": "Debts on Notes $191,442.82", + "bbox": [ + 163, + 647, + 1468, + 703 + ] + }, + { + "text": "Ordinary Shares $323,459.49", + "bbox": [ + 164, + 700, + 1470, + 756 + ] + }, + { + "text": "Sales Income $519,321.80", + "bbox": [ + 165, + 754, + 1471, + 810 + ] + }, + { + "text": "Compensation Costs $177,615.69", + "bbox": [ + 166, + 807, + 1472, + 863 + ] + }, + { + "text": "Lease and Services Costs $33,985.68", + "bbox": [ + 168, + 861, + 1473, + 917 + ] + }, + { + "text": "Final Balanced Total $2,005,124.41", + "bbox": [ + 252, + 916, + 1474, + 970 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/127/127_dirty_2.json b/new_type_trial_balance/127/127_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..aca9885707368e3ae0391420c49d3c1c2adefb90 --- /dev/null +++ b/new_type_trial_balance/127/127_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_127_dirty_2.png", + "labels": [ + { + "text": "Sanchez-Mcdaniel", + "bbox": [ + 163, + 179, + 542, + 227 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $140,153.70", + "bbox": [ + 165, + 378, + 1470, + 422 + ] + }, + { + "text": "Trade Receivables $89,869.65", + "bbox": [ + 166, + 431, + 1471, + 475 + ] + }, + { + "text": "Stock of Goods $90,616.20", + "bbox": [ + 166, + 485, + 1471, + 529 + ] + }, + { + "text": "Fixed Assets $374,434.59", + "bbox": [ + 167, + 538, + 1472, + 582 + ] + }, + { + "text": "Trade Payables $64,224.79", + "bbox": [ + 167, + 591, + 1473, + 636 + ] + }, + { + "text": "Debts on Notes $191,442.82", + "bbox": [ + 168, + 645, + 1473, + 689 + ] + }, + { + "text": "Ordinary Shares $323,459.49", + "bbox": [ + 169, + 698, + 1474, + 742 + ] + }, + { + "text": "Sales Income $519,321.80", + "bbox": [ + 169, + 752, + 1474, + 796 + ] + }, + { + "text": "Compensation Costs $177,615.69", + "bbox": [ + 170, + 805, + 1475, + 849 + ] + }, + { + "text": "Lease and Services Costs $33,985.68", + "bbox": [ + 170, + 859, + 1476, + 903 + ] + }, + { + "text": "Final Balanced Total $2,005,124.41", + "bbox": [ + 254, + 914, + 1476, + 957 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/127/127_dirty_3.json b/new_type_trial_balance/127/127_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..d4eb6307268297bf01e779f4b1d5c643d04bb414 --- /dev/null +++ b/new_type_trial_balance/127/127_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_127_dirty_3.png", + "labels": [ + { + "text": "Sanchez-Mcdaniel", + "bbox": [ + 172, + 172, + 551, + 217 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $140,153.70", + "bbox": [ + 172, + 375, + 1477, + 407 + ] + }, + { + "text": "Trade Receivables $89,869.65", + "bbox": [ + 172, + 428, + 1477, + 460 + ] + }, + { + "text": "Stock of Goods $90,616.20", + "bbox": [ + 172, + 482, + 1477, + 514 + ] + }, + { + "text": "Fixed Assets $374,434.59", + "bbox": [ + 172, + 535, + 1477, + 567 + ] + }, + { + "text": "Trade Payables $64,224.79", + "bbox": [ + 172, + 588, + 1477, + 621 + ] + }, + { + "text": "Debts on Notes $191,442.82", + "bbox": [ + 172, + 642, + 1478, + 674 + ] + }, + { + "text": "Ordinary Shares $323,459.49", + "bbox": [ + 173, + 695, + 1478, + 727 + ] + }, + { + "text": "Sales Income $519,321.80", + "bbox": [ + 173, + 749, + 1478, + 781 + ] + }, + { + "text": "Compensation Costs $177,615.69", + "bbox": [ + 173, + 802, + 1478, + 834 + ] + }, + { + "text": "Lease and Services Costs $33,985.68", + "bbox": [ + 173, + 856, + 1478, + 888 + ] + }, + { + "text": "Final Balanced Total $2,005,124.41", + "bbox": [ + 256, + 911, + 1478, + 943 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/127/127_dirty_4.json b/new_type_trial_balance/127/127_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..710dab1c7b7b686f61803cdbbf525fe7dbdc60b5 --- /dev/null +++ b/new_type_trial_balance/127/127_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_127_dirty_4.png", + "labels": [ + { + "text": "Sanchez-Mcdaniel", + "bbox": [ + 155, + 181, + 535, + 232 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $140,153.70", + "bbox": [ + 159, + 381, + 1464, + 435 + ] + }, + { + "text": "Trade Receivables $89,869.65", + "bbox": [ + 160, + 434, + 1465, + 488 + ] + }, + { + "text": "Stock of Goods $90,616.20", + "bbox": [ + 161, + 488, + 1466, + 542 + ] + }, + { + "text": "Fixed Assets $374,434.59", + "bbox": [ + 162, + 541, + 1467, + 595 + ] + }, + { + "text": "Trade Payables $64,224.79", + "bbox": [ + 163, + 594, + 1468, + 649 + ] + }, + { + "text": "Debts on Notes $191,442.82", + "bbox": [ + 164, + 648, + 1469, + 702 + ] + }, + { + "text": "Ordinary Shares $323,459.49", + "bbox": [ + 165, + 701, + 1470, + 755 + ] + }, + { + "text": "Sales Income $519,321.80", + "bbox": [ + 166, + 755, + 1471, + 809 + ] + }, + { + "text": "Compensation Costs $177,615.69", + "bbox": [ + 167, + 808, + 1472, + 862 + ] + }, + { + "text": "Lease and Services Costs $33,985.68", + "bbox": [ + 168, + 862, + 1473, + 916 + ] + }, + { + "text": "Final Balanced Total $2,005,124.41", + "bbox": [ + 252, + 917, + 1474, + 969 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/127/127_dirty_5.json b/new_type_trial_balance/127/127_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..d28357387b4aec7fa9349396c56aedd45823514a --- /dev/null +++ b/new_type_trial_balance/127/127_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_127_dirty_5.png", + "labels": [ + { + "text": "Sanchez-Mcdaniel", + "bbox": [ + 157, + 183, + 537, + 234 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $140,153.70", + "bbox": [ + 161, + 383, + 1466, + 434 + ] + }, + { + "text": "Trade Receivables $89,869.65", + "bbox": [ + 161, + 436, + 1467, + 487 + ] + }, + { + "text": "Stock of Goods $90,616.20", + "bbox": [ + 162, + 490, + 1468, + 541 + ] + }, + { + "text": "Fixed Assets $374,434.59", + "bbox": [ + 163, + 543, + 1469, + 594 + ] + }, + { + "text": "Trade Payables $64,224.79", + "bbox": [ + 164, + 596, + 1469, + 648 + ] + }, + { + "text": "Debts on Notes $191,442.82", + "bbox": [ + 165, + 650, + 1470, + 701 + ] + }, + { + "text": "Ordinary Shares $323,459.49", + "bbox": [ + 166, + 703, + 1471, + 754 + ] + }, + { + "text": "Sales Income $519,321.80", + "bbox": [ + 167, + 757, + 1472, + 808 + ] + }, + { + "text": "Compensation Costs $177,615.69", + "bbox": [ + 168, + 810, + 1473, + 861 + ] + }, + { + "text": "Lease and Services Costs $33,985.68", + "bbox": [ + 169, + 864, + 1474, + 915 + ] + }, + { + "text": "Final Balanced Total $2,005,124.41", + "bbox": [ + 253, + 919, + 1475, + 968 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/127/127_pdf.json b/new_type_trial_balance/127/127_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..5d1c47cad5eebc95862f92856ae00656668f923a --- /dev/null +++ b/new_type_trial_balance/127/127_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_127.pdf", + "labels": [ + { + "text": "Sanchez-Mcdaniel", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 199.22966324999996, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $140,153.70", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.571808, + 152.40670650000004 + ] + }, + { + "text": "Trade Receivables $89,869.65", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock of Goods $90,616.20", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.5734077499999, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $374,434.59", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Trade Payables $64,224.79", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Debts on Notes $191,442.82", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Ordinary Shares $323,459.49", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Sales Income $519,321.80", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Compensation Costs $177,615.69", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.571808, + 306.25045650000004 + ] + }, + { + "text": "Lease and Services Costs $33,985.68", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Final Balanced Total $2,005,124.41", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1296/1296.json b/new_type_trial_balance/1296/1296.json new file mode 100644 index 0000000000000000000000000000000000000000..e0470c4a33e4be4969f31c04b8dcff04d08c1bc4 --- /dev/null +++ b/new_type_trial_balance/1296/1296.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_1296.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Nielsen Group", + "bbox_px": [ + 188.99, + 169.21, + 488.66, + 217.62 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $114,545.72", + "bbox_px": [ + 185.86, + 384.09, + 1491.41, + 433.62 + ] + }, + { + "text": "Receivables $38,124.09", + "bbox_px": [ + 185.03, + 437.51, + 1490.55, + 487.03 + ] + }, + { + "text": "Stock of Goods $117,974.07", + "bbox_px": [ + 184.19, + 490.92, + 1489.74, + 540.44 + ] + }, + { + "text": "Fixed Assets $340,176.17", + "bbox_px": [ + 183.36, + 544.33, + 1488.87, + 593.86 + ] + }, + { + "text": "Trade Payables $61,435.90", + "bbox_px": [ + 182.53, + 597.74, + 1488.05, + 647.27 + ] + }, + { + "text": "Debt Instruments $113,932.03", + "bbox_px": [ + 181.69, + 651.15, + 1487.24, + 700.68 + ] + }, + { + "text": "Ordinary Shares $324,268.15", + "bbox_px": [ + 180.86, + 704.56, + 1486.37, + 754.09 + ] + }, + { + "text": "Sales Income $347,493.82", + "bbox_px": [ + 180.03, + 757.97, + 1485.54, + 807.5 + ] + }, + { + "text": "Compensation Costs $82,258.11", + "bbox_px": [ + 179.19, + 811.39, + 1484.72, + 860.91 + ] + }, + { + "text": "Facility Costs $38,582.95", + "bbox_px": [ + 178.36, + 864.8, + 1483.88, + 914.32 + ] + }, + { + "text": "Net Adjusted Total $1,578,791.01", + "bbox_px": [ + 260.82, + 921.59, + 1483.01, + 969.82 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1296/1296.pdf b/new_type_trial_balance/1296/1296.pdf new file mode 100644 index 0000000000000000000000000000000000000000..67e680e486e5f4f63dfcace32316e6b3940ff63e Binary files /dev/null and b/new_type_trial_balance/1296/1296.pdf differ diff --git a/new_type_trial_balance/1296/1296.xlsx b/new_type_trial_balance/1296/1296.xlsx new file mode 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551, + 1481, + 585 + ] + }, + { + "text": "Trade Payables $61,435.90", + "bbox": [ + 175, + 604, + 1480, + 639 + ] + }, + { + "text": "Debt Instruments $113,932.03", + "bbox": [ + 175, + 658, + 1480, + 692 + ] + }, + { + "text": "Ordinary Shares $324,268.15", + "bbox": [ + 175, + 711, + 1480, + 745 + ] + }, + { + "text": "Sales Income $347,493.82", + "bbox": [ + 175, + 765, + 1480, + 799 + ] + }, + { + "text": "Compensation Costs $82,258.11", + "bbox": [ + 175, + 818, + 1480, + 852 + ] + }, + { + "text": "Facility Costs $38,582.95", + "bbox": [ + 174, + 872, + 1479, + 906 + ] + }, + { + "text": "Net Adjusted Total $1,578,791.01", + "bbox": [ + 257, + 928, + 1479, + 961 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1296/1296_dirty_2.json b/new_type_trial_balance/1296/1296_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..f646ea4948c479ee84a647b95dd2484f2a67fad7 --- /dev/null +++ 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"text": "Compensation Costs $82,258.11", + "bbox": [ + 174, + 819, + 1479, + 851 + ] + }, + { + "text": "Facility Costs $38,582.95", + "bbox": [ + 174, + 873, + 1479, + 905 + ] + }, + { + "text": "Net Adjusted Total $1,578,791.01", + "bbox": [ + 257, + 928, + 1479, + 960 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1296/1296_dirty_3.json b/new_type_trial_balance/1296/1296_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..99ae69c44452d0f72040d91905de1addf7703b98 --- /dev/null +++ b/new_type_trial_balance/1296/1296_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1296_dirty_3.png", + "labels": [ + { + "text": "Nielsen Group", + "bbox": [ + 165, + 182, + 464, + 228 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $114,545.72", + "bbox": [ + 167, + 388, + 1472, + 428 + ] + }, + { + "text": "Receivables $38,124.09", + "bbox": [ + 167, + 441, + 1472, + 481 + ] + }, + { + "text": 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0000000000000000000000000000000000000000..b1e5e9ac395f68d86dbe1a214b4d73524b4f8489 --- /dev/null +++ b/new_type_trial_balance/1296/1296_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1296_dirty_4.png", + "labels": [ + { + "text": "Nielsen Group", + "bbox": [ + 155, + 180, + 455, + 230 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $114,545.72", + "bbox": [ + 159, + 365, + 1465, + 418 + ] + }, + { + "text": "Receivables $38,124.09", + "bbox": [ + 160, + 418, + 1466, + 471 + ] + }, + { + "text": "Stock of Goods $117,974.07", + "bbox": [ + 161, + 472, + 1467, + 525 + ] + }, + { + "text": "Fixed Assets $340,176.17", + "bbox": [ + 162, + 525, + 1468, + 578 + ] + }, + { + "text": "Trade Payables $61,435.90", + "bbox": [ + 163, + 578, + 1469, + 632 + ] + }, + { + "text": "Debt Instruments $113,932.03", + "bbox": [ + 164, + 631, + 1470, + 685 + ] + }, + { + "text": "Ordinary Shares $324,268.15", + "bbox": [ + 165, + 684, + 1470, + 738 + ] + }, + { + "text": "Sales Income $347,493.82", + "bbox": [ + 166, + 738, + 1471, + 792 + ] + }, + { + "text": "Compensation Costs $82,258.11", + "bbox": [ + 167, + 791, + 1472, + 845 + ] + }, + { + "text": "Facility Costs $38,582.95", + "bbox": [ + 168, + 845, + 1473, + 899 + ] + }, + { + "text": "Net Adjusted Total $1,578,791.01", + "bbox": [ + 252, + 900, + 1474, + 952 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1296/1296_dirty_5.json b/new_type_trial_balance/1296/1296_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..52ffaefc567084234fcd06df581a8dffa53952ab --- /dev/null +++ b/new_type_trial_balance/1296/1296_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1296_dirty_5.png", + "labels": [ + { + "text": "Nielsen Group", + "bbox": [ + 179, + 175, + 478, + 221 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $114,545.72", + "bbox": [ + 178, + 390, + 1483, + 426 + ] + }, + { + "text": "Receivables $38,124.09", + "bbox": [ + 177, + 443, + 1482, + 479 + ] + }, + { + "text": "Stock of Goods $117,974.07", + "bbox": [ + 177, + 497, + 1482, + 533 + ] + }, + { + "text": "Fixed Assets $340,176.17", + "bbox": [ + 177, + 550, + 1482, + 586 + ] + }, + { + "text": "Trade Payables $61,435.90", + "bbox": [ + 176, + 603, + 1482, + 640 + ] + }, + { + "text": "Debt Instruments $113,932.03", + "bbox": [ + 176, + 657, + 1481, + 693 + ] + }, + { + "text": "Ordinary Shares $324,268.15", + "bbox": [ + 176, + 710, + 1481, + 746 + ] + }, + { + "text": "Sales Income $347,493.82", + "bbox": [ + 176, + 764, + 1481, + 800 + ] + }, + { + "text": "Compensation Costs $82,258.11", + "bbox": [ + 175, + 817, + 1480, + 853 + ] + }, + { + "text": "Facility Costs $38,582.95", + "bbox": [ + 175, + 871, + 1480, + 907 + ] + }, + { + "text": "Net Adjusted Total $1,578,791.01", + "bbox": [ + 258, + 926, + 1480, + 962 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1296/1296_pdf.json b/new_type_trial_balance/1296/1296_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..dd0c7d8c3ccaa81a2cb2093166665f89884a7176 --- /dev/null +++ b/new_type_trial_balance/1296/1296_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1296.pdf", + "labels": [ + { + "text": "Nielsen Group", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 170.34416325, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $114,545.72", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.58460525, + 152.40670650000004 + ] + }, + { + "text": "Receivables $38,124.09", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock of Goods $117,974.07", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.58460525, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $340,176.17", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Trade Payables $61,435.90", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Debt Instruments $113,932.03", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.58460525, + 248.55905025000004 + ] + }, + { + "text": "Ordinary Shares $324,268.15", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Sales Income $347,493.82", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Compensation Costs $82,258.11", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.57570425, + 306.25045650000004 + ] + }, + { + "text": "Facility Costs $38,582.95", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Net Adjusted Total $1,578,791.01", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1317/1317.json b/new_type_trial_balance/1317/1317.json new file mode 100644 index 0000000000000000000000000000000000000000..646816d2ba4f500ea084af54b213ea68d93a7f3c --- /dev/null +++ b/new_type_trial_balance/1317/1317.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_1317.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Alexander Ltd", + "bbox_px": [ + 191.8, + 167.34, + 484.28, + 216.5 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $112,485.28", + "bbox_px": [ + 188.08, + 382.21, + 1493.65, + 435.58 + ] + }, + { + "text": "Trade Receivables $52,368.92", + "bbox_px": [ + 187.09, + 435.62, + 1492.63, + 488.98 + ] + }, + { + "text": "Merchandise Inventory $76,627.55", + "bbox_px": [ + 186.1, + 489.03, + 1491.64, + 542.39 + ] + }, + { + "text": "Fixed Assets $417,301.68", + "bbox_px": [ + 185.11, + 542.44, + 1490.65, + 595.8 + ] + }, + { + "text": "Trade Payables $55,013.95", + "bbox_px": [ + 184.12, + 595.85, + 1489.66, + 649.21 + ] + }, + { + "text": "Debt Obligations $169,526.44", + "bbox_px": [ + 183.13, + 649.26, + 1488.67, + 702.62 + ] + }, + { + "text": "Ordinary Shares $285,058.21", + "bbox_px": [ + 182.14, + 702.67, + 1487.68, + 756.03 + ] + }, + { + "text": "Sales Revenue $472,367.37", + "bbox_px": [ + 181.15, + 756.08, + 1486.69, + 809.44 + ] + }, + { + "text": "Personnel Costs $83,718.29", + "bbox_px": [ + 180.16, + 809.49, + 1485.7, + 862.85 + ] + }, + { + "text": "Facility Costs $45,470.18", + "bbox_px": [ + 179.17, + 862.89, + 1484.71, + 916.25 + ] + }, + { + "text": "Net Adjusted Balance $1,769,937.87", + "bbox_px": [ + 261.46, + 919.93, + 1483.68, + 971.75 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1317/1317.pdf b/new_type_trial_balance/1317/1317.pdf 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[ + 174, + 393, + 1479, + 423 + ] + }, + { + "text": "Trade Receivables $52,368.92", + "bbox": [ + 174, + 446, + 1479, + 476 + ] + }, + { + "text": "Merchandise Inventory $76,627.55", + "bbox": [ + 174, + 500, + 1479, + 530 + ] + }, + { + "text": "Fixed Assets $417,301.68", + "bbox": [ + 174, + 553, + 1479, + 583 + ] + }, + { + "text": "Trade Payables $55,013.95", + "bbox": [ + 174, + 606, + 1479, + 637 + ] + }, + { + "text": "Debt Obligations $169,526.44", + "bbox": [ + 174, + 660, + 1479, + 690 + ] + }, + { + "text": "Ordinary Shares $285,058.21", + "bbox": [ + 174, + 713, + 1479, + 743 + ] + }, + { + "text": "Sales Revenue $472,367.37", + "bbox": [ + 174, + 767, + 1479, + 797 + ] + }, + { + "text": "Personnel Costs $83,718.29", + "bbox": [ + 174, + 820, + 1479, + 850 + ] + }, + { + "text": "Facility Costs $45,470.18", + "bbox": [ + 174, + 874, + 1479, + 904 + ] + }, + { + "text": "Net Adjusted Balance $1,769,937.87", + "bbox": [ + 257, + 929, + 1479, + 959 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1317/1317_dirty_2.json b/new_type_trial_balance/1317/1317_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..f21d4d930d1b7849cdc5ae92b3eabb9371a0f418 --- /dev/null +++ b/new_type_trial_balance/1317/1317_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1317_dirty_2.png", + "labels": [ + { + "text": "Alexander Ltd", + "bbox": [ + 173, + 179, + 465, + 223 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $112,485.28", + "bbox": [ + 173, + 393, + 1478, + 423 + ] + }, + { + "text": "Trade Receivables $52,368.92", + "bbox": [ + 173, + 446, + 1478, + 476 + ] + }, + { + "text": "Merchandise Inventory $76,627.55", + "bbox": [ + 173, + 500, + 1478, + 530 + ] + }, + { + "text": "Fixed Assets $417,301.68", + "bbox": [ + 173, + 553, + 1478, + 583 + ] + }, + { + "text": "Trade Payables $55,013.95", + "bbox": [ + 173, + 606, + 1478, + 637 + ] + }, + { + "text": "Debt Obligations $169,526.44", + "bbox": [ + 173, + 660, + 1478, + 690 + ] + }, + { + "text": "Ordinary Shares $285,058.21", + "bbox": [ + 173, + 713, + 1478, + 743 + ] + }, + { + "text": "Sales Revenue $472,367.37", + "bbox": [ + 173, + 767, + 1478, + 797 + ] + }, + { + "text": "Personnel Costs $83,718.29", + "bbox": [ + 173, + 820, + 1478, + 850 + ] + }, + { + "text": "Facility Costs $45,470.18", + "bbox": [ + 173, + 874, + 1478, + 904 + ] + }, + { + "text": "Net Adjusted Balance $1,769,937.87", + "bbox": [ + 256, + 929, + 1478, + 959 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1317/1317_dirty_3.json b/new_type_trial_balance/1317/1317_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..dc8ace80a6fad275c3ff851a91d8ad8499009489 --- /dev/null +++ b/new_type_trial_balance/1317/1317_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1317_dirty_3.png", + "labels": [ + { + "text": "Alexander Ltd", + "bbox": [ + 162, + 186, + 454, + 234 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $112,485.28", + "bbox": [ + 164, + 399, + 1469, + 443 + ] + }, + { + "text": "Trade Receivables $52,368.92", + "bbox": [ + 165, + 452, + 1470, + 496 + ] + }, + { + "text": "Merchandise Inventory $76,627.55", + "bbox": [ + 165, + 506, + 1471, + 550 + ] + }, + { + "text": "Fixed Assets $417,301.68", + "bbox": [ + 166, + 559, + 1471, + 603 + ] + }, + { + "text": "Trade Payables $55,013.95", + "bbox": [ + 167, + 612, + 1472, + 657 + ] + }, + { + "text": "Debt Obligations $169,526.44", + "bbox": [ + 167, + 666, + 1473, + 710 + ] + }, + { + "text": "Ordinary Shares $285,058.21", + "bbox": [ + 168, + 719, + 1473, + 763 + ] + }, + { + "text": "Sales Revenue $472,367.37", + "bbox": [ + 169, + 773, + 1474, + 817 + ] + }, + { + "text": "Personnel Costs $83,718.29", + "bbox": [ + 169, + 826, + 1475, + 870 + ] + }, + { + "text": "Facility Costs $45,470.18", + "bbox": [ + 170, + 880, + 1475, + 924 + ] + }, + { + "text": "Net Adjusted Balance $1,769,937.87", + "bbox": [ + 254, + 934, + 1476, + 977 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1317/1317_dirty_4.json b/new_type_trial_balance/1317/1317_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..f171c1aabd198d2f4902bbf5d687dc1c66e25e17 --- /dev/null +++ b/new_type_trial_balance/1317/1317_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1317_dirty_4.png", + "labels": [ + { + "text": "Alexander Ltd", + "bbox": [ + 167, + 181, + 459, + 227 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $112,485.28", + "bbox": [ + 168, + 389, + 1474, + 427 + ] + }, + { + "text": "Trade Receivables $52,368.92", + "bbox": [ + 169, + 442, + 1474, + 480 + ] + }, + { + "text": "Merchandise Inventory $76,627.55", + "bbox": [ + 169, + 496, + 1474, + 534 + ] + }, + { + "text": "Fixed Assets $417,301.68", + "bbox": [ + 169, + 549, + 1475, + 587 + ] + }, + { + "text": "Trade Payables $55,013.95", + "bbox": [ + 170, + 602, + 1475, + 641 + ] + }, + { + "text": "Debt Obligations $169,526.44", + "bbox": [ + 170, + 656, + 1475, + 694 + ] + }, + { + "text": "Ordinary Shares $285,058.21", + "bbox": [ + 170, + 709, + 1476, + 747 + ] + }, + { + "text": "Sales Revenue $472,367.37", + "bbox": [ + 171, + 763, + 1476, + 801 + ] + }, + { + "text": "Personnel Costs $83,718.29", + "bbox": [ + 171, + 816, + 1476, + 854 + ] + }, + { + "text": "Facility Costs $45,470.18", + "bbox": [ + 172, + 870, + 1477, + 908 + ] + }, + { + "text": "Net Adjusted Balance $1,769,937.87", + "bbox": [ + 255, + 925, + 1477, + 962 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1317/1317_dirty_5.json b/new_type_trial_balance/1317/1317_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..b8e3d714a2404be5dbea0e5b167531056170dd00 --- /dev/null +++ b/new_type_trial_balance/1317/1317_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1317_dirty_5.png", + "labels": [ + { + "text": "Alexander Ltd", + "bbox": [ + 183, + 167, + 475, + 214 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $112,485.28", + "bbox": [ + 181, + 372, + 1486, + 414 + ] + }, + { + "text": "Trade Receivables $52,368.92", + "bbox": [ + 180, + 425, + 1486, + 467 + ] + }, + { + "text": "Merchandise Inventory $76,627.55", + "bbox": [ + 180, + 479, + 1485, + 521 + ] + }, + { + "text": "Fixed Assets $417,301.68", + "bbox": [ + 179, + 532, + 1484, + 574 + ] + }, + { + "text": "Trade Payables $55,013.95", + "bbox": [ + 179, + 585, + 1484, + 628 + ] + }, + { + "text": "Debt Obligations $169,526.44", + "bbox": [ + 178, + 639, + 1483, + 681 + ] + }, + { + "text": "Ordinary Shares $285,058.21", + "bbox": [ + 178, + 692, + 1483, + 734 + ] + }, + { + "text": "Sales Revenue $472,367.37", + "bbox": [ + 177, + 746, + 1482, + 788 + ] + }, + { + "text": "Personnel Costs $83,718.29", + "bbox": [ + 177, + 799, + 1482, + 841 + ] + }, + { + "text": "Facility Costs $45,470.18", + "bbox": [ + 176, + 853, + 1481, + 895 + ] + }, + { + "text": "Net Adjusted Balance $1,769,937.87", + "bbox": [ + 259, + 909, + 1481, + 950 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1317/1317_pdf.json b/new_type_trial_balance/1317/1317_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..16c83856ec210e6baea6000be13e4cc286599a37 --- /dev/null +++ b/new_type_trial_balance/1317/1317_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1317.pdf", + "labels": [ + { + "text": "Alexander Ltd", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 167.71391325000002, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $112,485.28", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.58460525, + 152.40670650000004 + ] + }, + { + "text": "Trade Receivables $52,368.92", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Merchandise Inventory $76,627.55", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.5734077499999, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $417,301.68", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Trade Payables $55,013.95", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Debt Obligations $169,526.44", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Ordinary Shares $285,058.21", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Sales Revenue $472,367.37", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Personnel Costs $83,718.29", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.5734077499999, + 306.25045650000004 + ] + }, + { + "text": "Facility Costs $45,470.18", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Net Adjusted Balance $1,769,937.87", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1338/1338.json b/new_type_trial_balance/1338/1338.json new file mode 100644 index 0000000000000000000000000000000000000000..c8554eee1450a085c49c0e73399c3a97cd8455e7 --- /dev/null +++ b/new_type_trial_balance/1338/1338.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_1338.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Moore, Miller and Li", + "bbox_px": [ + 162.85, + 182.12, + 574.18, + 230.57 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $137,678.36", + "bbox_px": [ + 165.31, + 386.76, + 1470.78, + 430.88 + ] + }, + { + "text": "Outstanding Receivables $79,703.14", + "bbox_px": [ + 165.92, + 440.17, + 1471.39, + 484.3 + ] + }, + { + "text": "Stock on Hand $54,660.99", + "bbox_px": [ + 166.53, + 493.59, + 1472.01, + 537.71 + ] + }, + { + "text": "Fixed Assets $442,603.71", + "bbox_px": [ + 167.15, + 547.0, + 1472.61, + 591.13 + ] + }, + { + "text": "Outstanding Liabilities $66,174.40", + "bbox_px": [ + 167.76, + 600.42, + 1473.23, + 644.54 + ] + }, + { + "text": "Debt Instruments $198,094.65", + "bbox_px": [ + 168.37, + 653.83, + 1473.84, + 697.96 + ] + }, + { + "text": "Ordinary Shares $224,231.82", + "bbox_px": [ + 168.98, + 707.25, + 1474.45, + 751.37 + ] + }, + { + "text": "Income $386,625.74", + "bbox_px": [ + 169.59, + 760.66, + 1475.06, + 804.79 + ] + }, + { + "text": "Compensation Costs $114,399.70", + "bbox_px": [ + 170.21, + 814.07, + 1475.71, + 858.2 + ] + }, + { + "text": "Lease and Operational Expenses $31,356.71", + "bbox_px": [ + 170.82, + 867.49, + 1476.29, + 911.61 + ] + }, + { + "text": "Net Adjusted Total $1,735,529.22", + "bbox_px": [ + 254.78, + 922.99, + 1476.92, + 966.16 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1338/1338.pdf b/new_type_trial_balance/1338/1338.pdf new file mode 100644 index 0000000000000000000000000000000000000000..8d07f5d41472c0c24e5d6c5b3720e7c0f2892cac Binary files /dev/null and b/new_type_trial_balance/1338/1338.pdf differ diff --git a/new_type_trial_balance/1338/1338.xlsx b/new_type_trial_balance/1338/1338.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..3e0fa8895e17e8b79e00f066c5c79f5ca62d875b Binary files /dev/null and b/new_type_trial_balance/1338/1338.xlsx differ diff --git a/new_type_trial_balance/1338/1338_dirty_1.json b/new_type_trial_balance/1338/1338_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..3aad00312b17f032bd169e13914e42851498f95b --- /dev/null +++ b/new_type_trial_balance/1338/1338_dirty_1.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1338_dirty_1.png", + "labels": [ + { + "text": "Moore, Miller and Li", + "bbox": [ + 161, + 187, + 573, + 236 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $137,678.36", + "bbox": [ + 164, + 399, + 1469, + 444 + ] + }, + { + "text": "Outstanding Receivables $79,703.14", + "bbox": [ + 165, + 452, + 1470, + 497 + ] + }, + { + "text": "Stock on Hand $54,660.99", + "bbox": [ + 165, + 506, + 1471, + 551 + ] + }, + { + "text": "Fixed Assets $442,603.71", + "bbox": [ + 166, + 558, + 1471, + 604 + ] + }, + { + "text": "Outstanding Liabilities $66,174.40", + "bbox": [ + 167, + 611, + 1472, + 658 + ] + }, + { + "text": "Debt Instruments $198,094.65", + "bbox": [ + 167, + 665, + 1473, + 711 + ] + }, + { + "text": "Ordinary Shares $224,231.82", + "bbox": [ + 168, + 718, + 1473, + 764 + ] + }, + { + "text": "Income $386,625.74", + "bbox": [ + 169, + 772, + 1474, + 818 + ] + }, + { + "text": "Compensation Costs $114,399.70", + "bbox": [ + 169, + 825, + 1475, + 871 + ] + }, + { + "text": "Lease and Operational Expenses $31,356.71", + "bbox": [ + 170, + 879, + 1475, + 925 + ] + }, + { + "text": "Net Adjusted Total $1,735,529.22", + "bbox": [ + 254, + 934, + 1476, + 979 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1338/1338_dirty_2.json b/new_type_trial_balance/1338/1338_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..e3fdab0e1b7e0be0f05d11224025db9afa79e82a --- /dev/null +++ b/new_type_trial_balance/1338/1338_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1338_dirty_2.png", + "labels": [ + { + "text": "Moore, Miller and Li", + "bbox": [ + 185, + 173, + 597, + 223 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $137,678.36", + "bbox": [ + 183, + 391, + 1488, + 437 + ] + }, + { + "text": "Outstanding Receivables $79,703.14", + "bbox": [ + 182, + 444, + 1487, + 490 + ] + }, + { + "text": "Stock on Hand $54,660.99", + "bbox": [ + 181, + 498, + 1487, + 544 + ] + }, + { + "text": "Fixed Assets $442,603.71", + "bbox": [ + 181, + 551, + 1486, + 597 + ] + }, + { + "text": "Outstanding Liabilities $66,174.40", + "bbox": [ + 180, + 604, + 1485, + 651 + ] + }, + { + "text": "Debt Instruments $198,094.65", + "bbox": [ + 179, + 658, + 1485, + 704 + ] + }, + { + "text": "Ordinary Shares $224,231.82", + "bbox": [ + 179, + 711, + 1484, + 757 + ] + }, + { + "text": "Income $386,625.74", + "bbox": [ + 178, + 765, + 1483, + 811 + ] + }, + { + "text": "Compensation Costs $114,399.70", + "bbox": [ + 178, + 818, + 1483, + 864 + ] + }, + { + "text": "Lease and Operational Expenses $31,356.71", + "bbox": [ + 177, + 872, + 1482, + 918 + ] + }, + { + "text": "Net Adjusted Total $1,735,529.22", + "bbox": [ + 259, + 928, + 1481, + 973 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1338/1338_dirty_3.json b/new_type_trial_balance/1338/1338_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..082ebae1cd470757e5d4721fc73bb7d9af09d0b6 --- /dev/null +++ b/new_type_trial_balance/1338/1338_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1338_dirty_3.png", + "labels": [ + { + "text": "Moore, Miller and Li", + "bbox": [ + 192, + 160, + 603, + 212 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $137,678.36", + "bbox": [ + 188, + 368, + 1493, + 422 + ] + }, + { + "text": "Outstanding Receivables $79,703.14", + "bbox": [ + 187, + 421, + 1492, + 475 + ] + }, + { + "text": "Stock on Hand $54,660.99", + "bbox": [ + 186, + 475, + 1491, + 529 + ] + }, + { + "text": "Fixed Assets $442,603.71", + "bbox": [ + 185, + 528, + 1490, + 582 + ] + }, + { + "text": "Outstanding Liabilities $66,174.40", + "bbox": [ + 184, + 581, + 1489, + 636 + ] + }, + { + "text": "Debt Instruments $198,094.65", + "bbox": [ + 183, + 635, + 1488, + 689 + ] + }, + { + "text": "Ordinary Shares $224,231.82", + "bbox": [ + 182, + 688, + 1487, + 742 + ] + }, + { + "text": "Income $386,625.74", + "bbox": [ + 181, + 742, + 1486, + 796 + ] + }, + { + "text": "Compensation Costs $114,399.70", + "bbox": [ + 180, + 795, + 1485, + 849 + ] + }, + { + "text": "Lease and Operational Expenses $31,356.71", + "bbox": [ + 179, + 849, + 1484, + 903 + ] + }, + { + "text": "Net Adjusted Total $1,735,529.22", + "bbox": [ + 261, + 907, + 1483, + 959 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1338/1338_dirty_4.json b/new_type_trial_balance/1338/1338_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..d6aaaebb769fa9b5d76619108c6e60d4103ac3a2 --- /dev/null +++ b/new_type_trial_balance/1338/1338_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1338_dirty_4.png", + "labels": [ + { + "text": "Moore, Miller and Li", + "bbox": [ + 175, + 179, + 586, + 223 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $137,678.36", + "bbox": [ + 174, + 393, + 1479, + 423 + ] + }, + { + "text": "Outstanding Receivables $79,703.14", + "bbox": [ + 174, + 446, + 1479, + 476 + ] + }, + { + "text": "Stock on Hand $54,660.99", + "bbox": [ + 174, + 500, + 1479, + 530 + ] + }, + { + "text": "Fixed Assets $442,603.71", + "bbox": [ + 174, + 553, + 1479, + 583 + ] + }, + { + "text": "Outstanding Liabilities $66,174.40", + "bbox": [ + 174, + 606, + 1479, + 637 + ] + }, + { + "text": "Debt Instruments $198,094.65", + "bbox": [ + 174, + 660, + 1479, + 690 + ] + }, + { + "text": "Ordinary Shares $224,231.82", + "bbox": [ + 174, + 713, + 1479, + 743 + ] + }, + { + "text": "Income $386,625.74", + "bbox": [ + 174, + 767, + 1479, + 797 + ] + }, + { + "text": "Compensation Costs $114,399.70", + "bbox": [ + 174, + 820, + 1479, + 850 + ] + }, + { + "text": "Lease and Operational Expenses $31,356.71", + "bbox": [ + 174, + 874, + 1479, + 904 + ] + }, + { + "text": "Net Adjusted Total $1,735,529.22", + "bbox": [ + 257, + 929, + 1479, + 959 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1338/1338_dirty_5.json b/new_type_trial_balance/1338/1338_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..6c000c16ebdca03db74d2d263461d4a2f65609df --- /dev/null +++ b/new_type_trial_balance/1338/1338_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1338_dirty_5.png", + "labels": [ + { + "text": "Moore, Miller and Li", + "bbox": [ + 175, + 176, + 586, + 220 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $137,678.36", + "bbox": [ + 174, + 393, + 1479, + 423 + ] + }, + { + "text": "Outstanding Receivables $79,703.14", + "bbox": [ + 174, + 446, + 1479, + 476 + ] + }, + { + "text": "Stock on Hand $54,660.99", + "bbox": [ + 174, + 500, + 1479, + 530 + ] + }, + { + "text": "Fixed Assets $442,603.71", + "bbox": [ + 174, + 553, + 1479, + 583 + ] + }, + { + "text": "Outstanding Liabilities $66,174.40", + "bbox": [ + 174, + 606, + 1479, + 637 + ] + }, + { + "text": "Debt Instruments $198,094.65", + "bbox": [ + 174, + 660, + 1479, + 690 + ] + }, + { + "text": "Ordinary Shares $224,231.82", + "bbox": [ + 174, + 713, + 1479, + 743 + ] + }, + { + "text": "Income $386,625.74", + "bbox": [ + 174, + 767, + 1479, + 797 + ] + }, + { + "text": "Compensation Costs $114,399.70", + "bbox": [ + 174, + 820, + 1479, + 850 + ] + }, + { + "text": "Lease and Operational Expenses $31,356.71", + "bbox": [ + 174, + 874, + 1479, + 904 + ] + }, + { + "text": "Net Adjusted Total $1,735,529.22", + "bbox": [ + 257, + 929, + 1479, + 959 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1338/1338_pdf.json b/new_type_trial_balance/1338/1338_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..f2b0d0f0c30415e4d0f4070bcf02892548a005ad --- /dev/null +++ b/new_type_trial_balance/1338/1338_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1338.pdf", + "labels": [ + { + "text": "Moore, Miller and Li", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 210.60116324999996, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $137,678.36", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.571808, + 152.40670650000004 + ] + }, + { + "text": "Outstanding Receivables $79,703.14", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock on Hand $54,660.99", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.5734077499999, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $442,603.71", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Outstanding Liabilities $66,174.40", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Debt Instruments $198,094.65", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Ordinary Shares $224,231.82", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Income $386,625.74", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Compensation Costs $114,399.70", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.58460525, + 306.25045650000004 + ] + }, + { + "text": "Lease and Operational Expenses $31,356.71", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Net Adjusted Total $1,735,529.22", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1354/1354.json b/new_type_trial_balance/1354/1354.json new file mode 100644 index 0000000000000000000000000000000000000000..2d4035254120b8b61ac7c61e0342d931f34124c2 --- /dev/null +++ b/new_type_trial_balance/1354/1354.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_1354.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Luna PLC", + "bbox_px": [ + 186.16, + 171.11, + 390.87, + 217.43 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $119,230.14", + "bbox_px": [ + 183.62, + 386.0, + 1489.14, + 431.66 + ] + }, + { + "text": "Customer Receivables $88,621.59", + "bbox_px": [ + 182.95, + 439.41, + 1488.44, + 485.07 + ] + }, + { + "text": "Stock on Hand $73,529.99", + "bbox_px": [ + 182.27, + 492.82, + 1487.76, + 538.48 + ] + }, + { + "text": "Fixed Assets and Property $335,455.96", + "bbox_px": [ + 181.6, + 546.24, + 1487.08, + 591.9 + ] + }, + { + "text": "Vendor Payables $26,936.92", + "bbox_px": [ + 180.92, + 599.65, + 1486.41, + 645.31 + ] + }, + { + "text": "Debt Instruments $220,668.11", + "bbox_px": [ + 180.25, + 653.06, + 1485.74, + 698.73 + ] + }, + { + "text": "Ordinary Shares $168,176.82", + "bbox_px": [ + 179.57, + 706.48, + 1485.06, + 752.14 + ] + }, + { + "text": "Income $279,538.35", + "bbox_px": [ + 178.9, + 759.89, + 1484.38, + 805.55 + ] + }, + { + "text": "Personnel Costs $88,344.40", + "bbox_px": [ + 178.22, + 813.31, + 1483.71, + 858.97 + ] + }, + { + "text": "Lease and Service Charges $45,341.02", + "bbox_px": [ + 177.55, + 866.72, + 1483.04, + 912.38 + ] + }, + { + "text": "Adjusted Closing Balance $1,445,843.30", + "bbox_px": [ + 260.17, + 923.27, + 1482.33, + 967.88 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1354/1354.pdf b/new_type_trial_balance/1354/1354.pdf new file mode 100644 index 0000000000000000000000000000000000000000..d7f7a4b33bc0f0e9487d7d6e3a27c4111d4245cd Binary files /dev/null and b/new_type_trial_balance/1354/1354.pdf differ diff --git a/new_type_trial_balance/1354/1354.xlsx b/new_type_trial_balance/1354/1354.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..055a82c956b0609104811bfbb9f186de1ff96aec Binary files /dev/null and b/new_type_trial_balance/1354/1354.xlsx differ diff --git a/new_type_trial_balance/1354/1354_dirty_1.json b/new_type_trial_balance/1354/1354_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..5766b9a7c5afdd098a9285e901eb689f1df3c0c8 --- /dev/null +++ b/new_type_trial_balance/1354/1354_dirty_1.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1354_dirty_1.png", + "labels": [ + { + "text": "Luna PLC", + "bbox": [ + 188, + 163, + 393, + 210 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $119,230.14", + "bbox": [ + 185, + 383, + 1490, + 433 + ] + }, + { + "text": "Customer Receivables $88,621.59", + "bbox": [ + 184, + 436, + 1490, + 486 + ] + }, + { + "text": "Stock on Hand $73,529.99", + "bbox": [ + 183, + 490, + 1489, + 540 + ] + }, + { + "text": "Fixed Assets and Property $335,455.96", + "bbox": [ + 183, + 543, + 1488, + 593 + ] + }, + { + "text": "Vendor Payables $26,936.92", + "bbox": [ + 182, + 596, + 1487, + 647 + ] + }, + { + "text": "Debt Instruments $220,668.11", + "bbox": [ + 181, + 650, + 1486, + 700 + ] + }, + { + "text": "Ordinary Shares $168,176.82", + "bbox": [ + 180, + 703, + 1485, + 753 + ] + }, + { + "text": "Income $279,538.35", + "bbox": [ + 179, + 757, + 1485, + 807 + ] + }, + { + "text": "Personnel Costs $88,344.40", + "bbox": [ + 179, + 810, + 1484, + 860 + ] + }, + { + "text": "Lease and Service Charges $45,341.02", + "bbox": [ + 178, + 864, + 1483, + 914 + ] + }, + { + "text": "Adjusted Closing Balance $1,445,843.30", + "bbox": [ + 260, + 921, + 1482, + 969 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1354/1354_dirty_2.json b/new_type_trial_balance/1354/1354_dirty_2.json new file 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711, + 1480, + 745 + ] + }, + { + "text": "Income $279,538.35", + "bbox": [ + 175, + 765, + 1480, + 799 + ] + }, + { + "text": "Personnel Costs $88,344.40", + "bbox": [ + 175, + 818, + 1480, + 852 + ] + }, + { + "text": "Lease and Service Charges $45,341.02", + "bbox": [ + 175, + 872, + 1480, + 906 + ] + }, + { + "text": "Adjusted Closing Balance $1,445,843.30", + "bbox": [ + 257, + 927, + 1479, + 961 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1354/1354_dirty_3.json b/new_type_trial_balance/1354/1354_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..e076d0d2893db5025e745be1b6bb0738b66f18c1 --- /dev/null +++ b/new_type_trial_balance/1354/1354_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1354_dirty_3.png", + "labels": [ + { + "text": "Luna PLC", + "bbox": [ + 176, + 172, + 381, + 217 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $119,230.14", + "bbox": [ + 176, + 377, + 1481, + 411 + ] + }, + { + "text": "Customer Receivables $88,621.59", + "bbox": [ + 176, + 430, + 1481, + 464 + ] + }, + { + "text": "Stock on Hand $73,529.99", + "bbox": [ + 176, + 484, + 1481, + 518 + ] + }, + { + "text": "Fixed Assets and Property $335,455.96", + "bbox": [ + 175, + 537, + 1480, + 571 + ] + }, + { + "text": "Vendor Payables $26,936.92", + "bbox": [ + 175, + 590, + 1480, + 625 + ] + }, + { + "text": "Debt Instruments $220,668.11", + "bbox": [ + 175, + 644, + 1480, + 678 + ] + }, + { + "text": "Ordinary Shares $168,176.82", + "bbox": [ + 175, + 697, + 1480, + 731 + ] + }, + { + "text": "Income $279,538.35", + "bbox": [ + 175, + 751, + 1480, + 785 + ] + }, + { + "text": "Personnel Costs $88,344.40", + "bbox": [ + 175, + 804, + 1480, + 838 + ] + }, + { + "text": "Lease and Service Charges $45,341.02", + "bbox": [ + 174, + 858, + 1479, + 892 + ] + }, + { + "text": "Adjusted Closing Balance $1,445,843.30", + "bbox": [ + 257, + 914, + 1479, + 947 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1354/1354_dirty_4.json b/new_type_trial_balance/1354/1354_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..3d1888911d0b8c7fab2d3be5a1d75d15a1ed3f8b --- /dev/null +++ b/new_type_trial_balance/1354/1354_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1354_dirty_4.png", + "labels": [ + { + "text": "Luna PLC", + "bbox": [ + 181, + 170, + 385, + 216 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $119,230.14", + "bbox": [ + 180, + 376, + 1485, + 416 + ] + }, + { + "text": "Customer Receivables $88,621.59", + "bbox": [ + 179, + 429, + 1484, + 469 + ] + }, + { + "text": "Stock on Hand $73,529.99", + "bbox": [ + 179, + 483, + 1484, + 523 + ] + }, + { + "text": "Fixed Assets and Property $335,455.96", + "bbox": [ + 178, + 536, + 1483, + 576 + ] + }, + { + "text": "Vendor Payables $26,936.92", + "bbox": [ + 178, + 589, + 1483, + 630 + ] + }, + { + "text": "Debt Instruments $220,668.11", + "bbox": [ + 177, + 643, + 1483, + 683 + ] + }, + { + "text": "Ordinary Shares $168,176.82", + "bbox": [ + 177, + 696, + 1482, + 736 + ] + }, + { + "text": "Income $279,538.35", + "bbox": [ + 177, + 750, + 1482, + 790 + ] + }, + { + "text": "Personnel Costs $88,344.40", + "bbox": [ + 176, + 803, + 1481, + 843 + ] + }, + { + "text": "Lease and Service Charges $45,341.02", + "bbox": [ + 176, + 857, + 1481, + 897 + ] + }, + { + "text": "Adjusted Closing Balance $1,445,843.30", + "bbox": [ + 258, + 913, + 1480, + 952 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1354/1354_dirty_5.json b/new_type_trial_balance/1354/1354_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..9ec4f009f0c1c5bd139b96372002b3552e5c1842 --- /dev/null +++ b/new_type_trial_balance/1354/1354_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1354_dirty_5.png", + "labels": [ + { + "text": "Luna PLC", + "bbox": [ + 171, + 175, + 375, + 219 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $119,230.14", + "bbox": [ + 171, + 374, + 1476, + 406 + ] + }, + { + "text": "Customer Receivables $88,621.59", + "bbox": [ + 171, + 427, + 1477, + 459 + ] + }, + { + "text": "Stock on Hand $73,529.99", + "bbox": [ + 172, + 481, + 1477, + 513 + ] + }, + { + "text": "Fixed Assets and Property $335,455.96", + "bbox": [ + 172, + 534, + 1477, + 566 + ] + }, + { + "text": "Vendor Payables $26,936.92", + "bbox": [ + 172, + 587, + 1477, + 620 + ] + }, + { + "text": "Debt Instruments $220,668.11", + "bbox": [ + 172, + 641, + 1477, + 673 + ] + }, + { + "text": "Ordinary Shares $168,176.82", + "bbox": [ + 172, + 694, + 1477, + 726 + ] + }, + { + "text": "Income $279,538.35", + "bbox": [ + 172, + 748, + 1477, + 780 + ] + }, + { + "text": "Personnel Costs $88,344.40", + "bbox": [ + 173, + 801, + 1478, + 833 + ] + }, + { + "text": "Lease and Service Charges $45,341.02", + "bbox": [ + 173, + 855, + 1478, + 887 + ] + }, + { + "text": "Adjusted Closing Balance $1,445,843.30", + "bbox": [ + 256, + 910, + 1478, + 942 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1354/1354_pdf.json b/new_type_trial_balance/1354/1354_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..c74b87af56b3cc8a020781960c401c2cc8063643 --- /dev/null +++ b/new_type_trial_balance/1354/1354_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1354.pdf", + "labels": [ + { + "text": "Luna PLC", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 136.19816325, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $119,230.14", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.58460525, + 152.40670650000004 + ] + }, + { + "text": "Customer Receivables $88,621.59", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock on Hand $73,529.99", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.5734077499999, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets and Property $335,455.96", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Vendor Payables $26,936.92", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Debt Instruments $220,668.11", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.57410525, + 248.55905025000004 + ] + }, + { + "text": "Ordinary Shares $168,176.82", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Income $279,538.35", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Personnel Costs $88,344.40", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.5734077499999, + 306.25045650000004 + ] + }, + { + "text": "Lease and Service Charges $45,341.02", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Adjusted Closing Balance $1,445,843.30", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1403/1403.json b/new_type_trial_balance/1403/1403.json new file mode 100644 index 0000000000000000000000000000000000000000..2660a975b2a640fe96fd315aa6184fac322323ef --- /dev/null +++ b/new_type_trial_balance/1403/1403.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_1403.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Lee LLC", + "bbox_px": [ + 157.75, + 187.41, + 331.05, + 234.03 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $86,215.46", + "bbox_px": [ + 161.33, + 383.43, + 1466.86, + 434.33 + ] + }, + { + "text": "Outstanding Receivables $39,366.29", + "bbox_px": [ + 162.22, + 436.84, + 1467.75, + 487.74 + ] + }, + { + "text": "Stock on Hand $48,317.69", + "bbox_px": [ + 163.11, + 490.25, + 1468.64, + 541.15 + ] + }, + { + "text": "Fixed Assets $324,524.29", + "bbox_px": [ + 164.0, + 543.66, + 1469.53, + 594.56 + ] + }, + { + "text": "Vendor Liabilities $68,779.02", + "bbox_px": [ + 164.89, + 597.07, + 1470.42, + 647.97 + ] + }, + { + "text": "Debt Obligations $225,837.58", + "bbox_px": [ + 165.78, + 650.48, + 1471.31, + 701.38 + ] + }, + { + "text": "Equity Shares $240,453.54", + "bbox_px": [ + 166.67, + 703.89, + 1472.2, + 754.79 + ] + }, + { + "text": "Sales Income $213,010.72", + "bbox_px": [ + 167.56, + 757.3, + 1473.08, + 808.2 + ] + }, + { + "text": "Compensation Costs $140,381.76", + "bbox_px": [ + 168.45, + 810.71, + 1473.97, + 861.61 + ] + }, + { + "text": "Lease and Service Charges $27,903.05", + "bbox_px": [ + 169.34, + 864.12, + 1474.87, + 915.02 + ] + }, + { + "text": "Net Adjusted Total $1,414,789.40", + "bbox_px": [ + 253.59, + 919.62, + 1475.79, + 969.13 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1403/1403.pdf b/new_type_trial_balance/1403/1403.pdf new file mode 100644 index 0000000000000000000000000000000000000000..bba04b87f4451966b60a52911e1558354b61df4c Binary files /dev/null and b/new_type_trial_balance/1403/1403.pdf differ diff --git a/new_type_trial_balance/1403/1403.xlsx b/new_type_trial_balance/1403/1403.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..73dedc86ad1184d253efca5b6e736225fbbd2864 Binary files /dev/null and b/new_type_trial_balance/1403/1403.xlsx differ diff --git a/new_type_trial_balance/1403/1403_dirty_1.json b/new_type_trial_balance/1403/1403_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..ad6633e08d392fee55f863ef6cf3f5b7533e11f5 --- /dev/null +++ b/new_type_trial_balance/1403/1403_dirty_1.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1403_dirty_1.png", + "labels": [ + { + "text": "Lee LLC", + "bbox": [ + 153, + 186, + 326, + 233 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $86,215.46", + "bbox": [ + 158, + 364, + 1463, + 420 + ] + }, + { + "text": "Outstanding Receivables $39,366.29", + "bbox": [ + 159, + 417, + 1464, + 473 + ] + }, + { + "text": "Stock on Hand $48,317.69", + "bbox": [ + 160, + 471, + 1465, + 527 + ] + }, + { + "text": "Fixed Assets $324,524.29", + "bbox": [ + 161, + 524, + 1466, + 580 + ] + }, + { + "text": "Vendor Liabilities $68,779.02", + "bbox": [ + 162, + 577, + 1467, + 634 + ] + }, + { + "text": "Debt Obligations $225,837.58", + "bbox": [ + 163, + 631, + 1468, + 687 + ] + }, + { + "text": "Equity Shares $240,453.54", + "bbox": [ + 164, + 684, + 1470, + 740 + ] + }, + { + "text": "Sales Income $213,010.72", + "bbox": [ + 165, + 738, + 1471, + 794 + ] + }, + { + "text": "Compensation Costs $140,381.76", + "bbox": [ + 166, + 791, + 1472, + 847 + ] + }, + { + "text": "Lease and Service Charges $27,903.05", + "bbox": [ + 168, + 845, + 1473, + 901 + ] + }, + { + "text": "Net Adjusted Total $1,414,789.40", + "bbox": [ + 252, + 900, + 1474, + 954 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1403/1403_dirty_2.json b/new_type_trial_balance/1403/1403_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..26364c82e1be150dd82685a77c03379ee3e86cd9 --- /dev/null +++ b/new_type_trial_balance/1403/1403_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1403_dirty_2.png", + "labels": [ + { + "text": "Lee LLC", + "bbox": [ + 159, + 183, + 331, + 229 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $86,215.46", + "bbox": [ + 162, + 372, + 1467, + 420 + ] + }, + { + "text": "Outstanding Receivables $39,366.29", + "bbox": [ + 163, + 425, + 1468, + 473 + ] + }, + { + "text": "Stock on Hand $48,317.69", + "bbox": [ + 164, + 479, + 1469, + 527 + ] + }, + { + "text": "Fixed Assets $324,524.29", + "bbox": [ + 164, + 532, + 1470, + 580 + ] + }, + { + "text": "Vendor Liabilities $68,779.02", + "bbox": [ + 165, + 585, + 1471, + 634 + ] + }, + { + "text": "Debt Obligations $225,837.58", + "bbox": [ + 166, + 639, + 1471, + 687 + ] + }, + { + "text": "Equity Shares $240,453.54", + "bbox": [ + 167, + 692, + 1472, + 740 + ] + }, + { + "text": "Sales Income $213,010.72", + "bbox": [ + 168, + 746, + 1473, + 794 + ] + }, + { + "text": "Compensation Costs $140,381.76", + "bbox": [ + 168, + 799, + 1474, + 847 + ] + }, + { + "text": "Lease and Service Charges $27,903.05", + "bbox": [ + 169, + 853, + 1474, + 901 + ] + }, + { + "text": "Net Adjusted Total $1,414,789.40", + "bbox": [ + 253, + 908, + 1475, + 955 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1403/1403_dirty_3.json b/new_type_trial_balance/1403/1403_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..ddcacb419b7955248a7f872c4a618cb3c27f7675 --- /dev/null +++ b/new_type_trial_balance/1403/1403_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1403_dirty_3.png", + "labels": [ + { + "text": "Lee LLC", + "bbox": [ + 164, + 189, + 337, + 235 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $86,215.46", + "bbox": [ + 166, + 388, + 1472, + 429 + ] + }, + { + "text": "Outstanding Receivables $39,366.29", + "bbox": [ + 167, + 441, + 1472, + 482 + ] + }, + { + "text": "Stock on Hand $48,317.69", + "bbox": [ + 167, + 495, + 1473, + 536 + ] + }, + { + "text": "Fixed Assets $324,524.29", + "bbox": [ + 168, + 548, + 1473, + 589 + ] + }, + { + "text": "Vendor Liabilities $68,779.02", + "bbox": [ + 168, + 601, + 1474, + 643 + ] + }, + { + "text": "Debt Obligations $225,837.58", + "bbox": [ + 169, + 655, + 1474, + 696 + ] + }, + { + "text": "Equity Shares $240,453.54", + "bbox": [ + 169, + 708, + 1475, + 749 + ] + }, + { + "text": "Sales Income $213,010.72", + "bbox": [ + 170, + 761, + 1475, + 803 + ] + }, + { + "text": "Compensation Costs $140,381.76", + "bbox": [ + 170, + 814, + 1476, + 856 + ] + }, + { + "text": "Lease and Service Charges $27,903.05", + "bbox": [ + 171, + 868, + 1476, + 910 + ] + }, + { + "text": "Net Adjusted Total $1,414,789.40", + "bbox": [ + 254, + 923, + 1477, + 964 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1403/1403_dirty_4.json b/new_type_trial_balance/1403/1403_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..c808112e70e8f269c7eb0e2552be91a8bee92821 --- /dev/null +++ b/new_type_trial_balance/1403/1403_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1403_dirty_4.png", + "labels": [ + { + "text": "Lee LLC", + "bbox": [ + 166, + 185, + 339, + 230 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $86,215.46", + "bbox": [ + 168, + 405, + 1473, + 443 + ] + }, + { + "text": "Outstanding Receivables $39,366.29", + "bbox": [ + 168, + 458, + 1473, + 496 + ] + }, + { + "text": "Stock on Hand $48,317.69", + "bbox": [ + 169, + 512, + 1474, + 550 + ] + }, + { + "text": "Fixed Assets $324,524.29", + "bbox": [ + 169, + 565, + 1474, + 603 + ] + }, + { + "text": "Vendor Liabilities $68,779.02", + "bbox": [ + 169, + 618, + 1475, + 657 + ] + }, + { + "text": "Debt Obligations $225,837.58", + "bbox": [ + 170, + 672, + 1475, + 710 + ] + }, + { + "text": "Equity Shares $240,453.54", + "bbox": [ + 170, + 725, + 1475, + 763 + ] + }, + { + "text": "Sales Income $213,010.72", + "bbox": [ + 171, + 779, + 1476, + 817 + ] + }, + { + "text": "Compensation Costs $140,381.76", + "bbox": [ + 171, + 832, + 1476, + 870 + ] + }, + { + "text": "Lease and Service Charges $27,903.05", + "bbox": [ + 171, + 886, + 1477, + 924 + ] + }, + { + "text": "Net Adjusted Total $1,414,789.40", + "bbox": [ + 255, + 941, + 1477, + 979 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1403/1403_dirty_5.json b/new_type_trial_balance/1403/1403_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..d843883c66572604dfbbfb469b6d85bcbc5572f9 --- /dev/null +++ b/new_type_trial_balance/1403/1403_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1403_dirty_5.png", + "labels": [ + { + "text": "Lee LLC", + "bbox": [ + 156, + 187, + 329, + 234 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $86,215.46", + "bbox": [ + 160, + 382, + 1465, + 434 + ] + }, + { + "text": "Outstanding Receivables $39,366.29", + "bbox": [ + 161, + 435, + 1466, + 487 + ] + }, + { + "text": "Stock on Hand $48,317.69", + "bbox": [ + 162, + 489, + 1467, + 541 + ] + }, + { + "text": "Fixed Assets $324,524.29", + "bbox": [ + 163, + 542, + 1468, + 594 + ] + }, + { + "text": "Vendor Liabilities $68,779.02", + "bbox": [ + 164, + 595, + 1469, + 648 + ] + }, + { + "text": "Debt Obligations $225,837.58", + "bbox": [ + 165, + 649, + 1470, + 701 + ] + }, + { + "text": "Equity Shares $240,453.54", + "bbox": [ + 166, + 702, + 1471, + 754 + ] + }, + { + "text": "Sales Income $213,010.72", + "bbox": [ + 167, + 756, + 1472, + 808 + ] + }, + { + "text": "Compensation Costs $140,381.76", + "bbox": [ + 168, + 809, + 1473, + 861 + ] + }, + { + "text": "Lease and Service Charges $27,903.05", + "bbox": [ + 168, + 863, + 1474, + 915 + ] + }, + { + "text": "Net Adjusted Total $1,414,789.40", + "bbox": [ + 252, + 918, + 1475, + 969 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1403/1403_pdf.json b/new_type_trial_balance/1403/1403_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..c7a57f21591153908cb86cbd852b2b7bbd9ec2dc --- /dev/null +++ b/new_type_trial_balance/1403/1403_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1403.pdf", + "labels": [ + { + "text": "Lee LLC", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 124.82666325000001, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $86,215.46", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.5734077499999, + 152.40670650000004 + ] + }, + { + "text": "Outstanding Receivables $39,366.29", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock on Hand $48,317.69", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.5734077499999, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $324,524.29", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Vendor Liabilities $68,779.02", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Debt Obligations $225,837.58", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Equity Shares $240,453.54", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Sales Income $213,010.72", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Compensation Costs $140,381.76", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.571808, + 306.25045650000004 + ] + }, + { + "text": "Lease and Service Charges $27,903.05", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Net Adjusted Total $1,414,789.40", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1434/1434.json b/new_type_trial_balance/1434/1434.json new file mode 100644 index 0000000000000000000000000000000000000000..71a4a388a45db7ffee01f8cfbfa4a38044caa5ac --- /dev/null +++ b/new_type_trial_balance/1434/1434.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_1434.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Ryan Inc", + "bbox_px": [ + 179.46, + 175.63, + 362.06, + 220.4 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $148,167.36", + "bbox_px": [ + 178.34, + 390.54, + 1483.7, + 427.02 + ] + }, + { + "text": "Outstanding Invoices $80,455.75", + "bbox_px": [ + 178.04, + 443.95, + 1483.41, + 480.44 + ] + }, + { + "text": "Stock on Hand $82,752.22", + "bbox_px": [ + 177.74, + 497.37, + 1483.11, + 533.86 + ] + }, + { + "text": "Fixed Assets $470,538.01", + "bbox_px": [ + 177.44, + 550.79, + 1482.8, + 587.27 + ] + }, + { + "text": "Vendor Liabilities $45,459.55", + "bbox_px": [ + 177.14, + 604.2, + 1482.51, + 640.69 + ] + }, + { + "text": "Debt Instruments $180,645.37", + "bbox_px": [ + 176.84, + 657.62, + 1482.2, + 694.11 + ] + }, + { + "text": "Equity Shares $297,722.67", + "bbox_px": [ + 176.54, + 711.04, + 1481.9, + 747.53 + ] + }, + { + "text": "Income $354,218.43", + "bbox_px": [ + 176.24, + 764.46, + 1481.6, + 800.94 + ] + }, + { + "text": "Compensation Costs $138,759.38", + "bbox_px": [ + 175.94, + 817.87, + 1481.31, + 854.36 + ] + }, + { + "text": "Operational Expenses $39,593.02", + "bbox_px": [ + 175.64, + 871.29, + 1481.01, + 907.78 + ] + }, + { + "text": "Final Balanced Total $1,838,311.76", + "bbox_px": [ + 258.66, + 927.26, + 1480.69, + 963.28 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1434/1434.pdf b/new_type_trial_balance/1434/1434.pdf new file mode 100644 index 0000000000000000000000000000000000000000..c536fd086e35283286f48999a7cfe8ce9bb9a6c7 Binary files /dev/null and b/new_type_trial_balance/1434/1434.pdf differ diff --git a/new_type_trial_balance/1434/1434.xlsx b/new_type_trial_balance/1434/1434.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..a7abe16182549ac12088b8056583b71cf032dee5 Binary files /dev/null and b/new_type_trial_balance/1434/1434.xlsx differ diff --git a/new_type_trial_balance/1434/1434_dirty_1.json b/new_type_trial_balance/1434/1434_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..81f0b6174f641fd0be769d4dfc108b5a4309cc86 --- /dev/null +++ b/new_type_trial_balance/1434/1434_dirty_1.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1434_dirty_1.png", + "labels": [ + { + "text": "Ryan Inc", + "bbox": [ + 172, + 179, + 354, + 224 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $148,167.36", + "bbox": [ + 172, + 392, + 1477, + 424 + ] + }, + { + "text": "Outstanding Invoices $80,455.75", + "bbox": [ + 172, + 445, + 1477, + 477 + ] + }, + { + "text": "Stock on Hand $82,752.22", + "bbox": [ + 172, + 499, + 1477, + 531 + ] + }, + { + "text": "Fixed Assets $470,538.01", + "bbox": [ + 172, + 552, + 1477, + 584 + ] + }, + { + "text": "Vendor Liabilities $45,459.55", + "bbox": [ + 172, + 605, + 1477, + 638 + ] + }, + { + "text": "Debt Instruments $180,645.37", + "bbox": [ + 173, + 659, + 1478, + 691 + ] + }, + { + "text": "Equity Shares $297,722.67", + "bbox": [ + 173, + 712, + 1478, + 744 + ] + }, + { + "text": "Income $354,218.43", + "bbox": [ + 173, + 766, + 1478, + 798 + ] + }, + { + "text": "Compensation Costs $138,759.38", + "bbox": [ + 173, + 819, + 1478, + 851 + ] + }, + { + "text": "Operational Expenses $39,593.02", + "bbox": [ + 173, + 873, + 1478, + 905 + ] + }, + { + "text": "Final Balanced Total $1,838,311.76", + "bbox": [ + 256, + 928, + 1478, + 960 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1434/1434_dirty_2.json b/new_type_trial_balance/1434/1434_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..11d556f0511947b30fc798bf95654b895879c5b2 --- /dev/null +++ b/new_type_trial_balance/1434/1434_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1434_dirty_2.png", + "labels": [ + { + "text": "Ryan Inc", + "bbox": [ + 158, + 186, + 340, + 233 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $148,167.36", + "bbox": [ + 161, + 383, + 1467, + 433 + ] + }, + { + "text": "Outstanding Invoices $80,455.75", + "bbox": [ + 162, + 436, + 1467, + 486 + ] + }, + { + "text": "Stock on Hand $82,752.22", + "bbox": [ + 163, + 490, + 1468, + 540 + ] + }, + { + "text": "Fixed Assets $470,538.01", + "bbox": [ + 164, + 543, + 1469, + 593 + ] + }, + { + "text": "Vendor Liabilities $45,459.55", + "bbox": [ + 165, + 596, + 1470, + 647 + ] + }, + { + "text": "Debt Instruments $180,645.37", + "bbox": [ + 165, + 650, + 1471, + 700 + ] + }, + { + "text": "Equity Shares $297,722.67", + "bbox": [ + 166, + 703, + 1472, + 753 + ] + }, + { + "text": "Income $354,218.43", + "bbox": [ + 167, + 757, + 1472, + 807 + ] + }, + { + "text": "Compensation Costs $138,759.38", + "bbox": [ + 168, + 810, + 1473, + 860 + ] + }, + { + "text": "Operational Expenses $39,593.02", + "bbox": [ + 169, + 864, + 1474, + 914 + ] + }, + { + "text": "Final Balanced Total $1,838,311.76", + "bbox": [ + 253, + 919, + 1475, + 968 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1434/1434_dirty_3.json b/new_type_trial_balance/1434/1434_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..cd446d526a81532f767d53818824f80bb95b9326 --- /dev/null +++ b/new_type_trial_balance/1434/1434_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1434_dirty_3.png", + "labels": [ + { + "text": "Ryan Inc", + "bbox": [ + 175, + 172, + 357, + 217 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $148,167.36", + "bbox": [ + 175, + 392, + 1480, + 424 + ] + }, + { + "text": "Outstanding Invoices $80,455.75", + "bbox": [ + 175, + 445, + 1480, + 477 + ] + }, + { + "text": "Stock on Hand $82,752.22", + "bbox": [ + 175, + 499, + 1480, + 531 + ] + }, + { + "text": "Fixed Assets $470,538.01", + "bbox": [ + 175, + 552, + 1480, + 584 + ] + }, + { + "text": "Vendor Liabilities $45,459.55", + "bbox": [ + 175, + 605, + 1480, + 638 + ] + }, + { + "text": "Debt Instruments $180,645.37", + "bbox": [ + 174, + 659, + 1479, + 691 + ] + }, + { + "text": "Equity Shares $297,722.67", + "bbox": [ + 174, + 712, + 1479, + 744 + ] + }, + { + "text": "Income $354,218.43", + "bbox": [ + 174, + 766, + 1479, + 798 + ] + }, + { + "text": "Compensation Costs $138,759.38", + "bbox": [ + 174, + 819, + 1479, + 851 + ] + }, + { + "text": "Operational Expenses $39,593.02", + "bbox": [ + 174, + 873, + 1479, + 905 + ] + }, + { + "text": "Final Balanced Total $1,838,311.76", + "bbox": [ + 257, + 928, + 1479, + 960 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1434/1434_dirty_4.json b/new_type_trial_balance/1434/1434_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..33628ee812fcae0ad3d2e77eb6dc564d4388d6c5 --- /dev/null +++ b/new_type_trial_balance/1434/1434_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1434_dirty_4.png", + "labels": [ + { + "text": "Ryan Inc", + "bbox": [ + 175, + 180, + 357, + 225 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $148,167.36", + "bbox": [ + 175, + 405, + 1480, + 437 + ] + }, + { + "text": "Outstanding Invoices $80,455.75", + "bbox": [ + 175, + 458, + 1480, + 490 + ] + }, + { + "text": "Stock on Hand $82,752.22", + "bbox": [ + 175, + 512, + 1480, + 544 + ] + }, + { + "text": "Fixed Assets $470,538.01", + "bbox": [ + 175, + 565, + 1480, + 597 + ] + }, + { + "text": "Vendor Liabilities $45,459.55", + "bbox": [ + 175, + 618, + 1480, + 651 + ] + }, + { + "text": "Debt Instruments $180,645.37", + "bbox": [ + 174, + 672, + 1479, + 704 + ] + }, + { + "text": "Equity Shares $297,722.67", + "bbox": [ + 174, + 725, + 1479, + 757 + ] + }, + { + "text": "Income $354,218.43", + "bbox": [ + 174, + 779, + 1479, + 811 + ] + }, + { + "text": "Compensation Costs $138,759.38", + "bbox": [ + 174, + 832, + 1479, + 864 + ] + }, + { + "text": "Operational Expenses $39,593.02", + "bbox": [ + 174, + 886, + 1479, + 918 + ] + }, + { + "text": "Final Balanced Total $1,838,311.76", + "bbox": [ + 257, + 941, + 1479, + 973 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1434/1434_dirty_5.json b/new_type_trial_balance/1434/1434_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..9fe8fe850a499b9a701fcd3001862c0de2ed76cf --- /dev/null +++ b/new_type_trial_balance/1434/1434_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1434_dirty_5.png", + "labels": [ + { + "text": "Ryan Inc", + "bbox": [ + 156, + 181, + 339, + 228 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $148,167.36", + "bbox": [ + 160, + 382, + 1465, + 434 + ] + }, + { + "text": "Outstanding Invoices $80,455.75", + "bbox": [ + 161, + 435, + 1466, + 487 + ] + }, + { + "text": "Stock on Hand $82,752.22", + "bbox": [ + 162, + 489, + 1467, + 541 + ] + }, + { + "text": "Fixed Assets $470,538.01", + "bbox": [ + 163, + 542, + 1468, + 594 + ] + }, + { + "text": "Vendor Liabilities $45,459.55", + "bbox": [ + 164, + 595, + 1469, + 648 + ] + }, + { + "text": "Debt Instruments $180,645.37", + "bbox": [ + 165, + 649, + 1470, + 701 + ] + }, + { + "text": "Equity Shares $297,722.67", + "bbox": [ + 166, + 702, + 1471, + 754 + ] + }, + { + "text": "Income $354,218.43", + "bbox": [ + 167, + 756, + 1472, + 808 + ] + }, + { + "text": "Compensation Costs $138,759.38", + "bbox": [ + 167, + 809, + 1473, + 861 + ] + }, + { + "text": "Operational Expenses $39,593.02", + "bbox": [ + 168, + 863, + 1474, + 915 + ] + }, + { + "text": "Final Balanced Total $1,838,311.76", + "bbox": [ + 252, + 918, + 1475, + 969 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1434/1434_pdf.json b/new_type_trial_balance/1434/1434_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..7c3ba6f7208cceeb42fcc60718855a684ef1e056 --- /dev/null +++ b/new_type_trial_balance/1434/1434_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1434.pdf", + "labels": [ + { + "text": "Ryan Inc", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 128.33891325000002, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $148,167.36", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.571808, + 152.40670650000004 + ] + }, + { + "text": "Outstanding Invoices $80,455.75", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock on Hand $82,752.22", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.5734077499999, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $470,538.01", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Vendor Liabilities $45,459.55", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Debt Instruments $180,645.37", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Equity Shares $297,722.67", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Income $354,218.43", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Compensation Costs $138,759.38", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.571808, + 306.25045650000004 + ] + }, + { + "text": "Operational Expenses $39,593.02", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Final Balanced Total $1,838,311.76", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.571568, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1435/1435.json b/new_type_trial_balance/1435/1435.json new file mode 100644 index 0000000000000000000000000000000000000000..95d5fbedd7ab53b6edbd0838956030cb91d5498a --- /dev/null +++ b/new_type_trial_balance/1435/1435.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_1435.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Snow, Long and Webb", + "bbox_px": [ + 197.37, + 163.67, + 665.03, + 218.78 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $75,395.39", + "bbox_px": [ + 192.5, + 378.52, + 1498.04, + 439.46 + ] + }, + { + "text": "Trade Receivables $33,240.81", + "bbox_px": [ + 191.2, + 431.92, + 1496.74, + 492.86 + ] + }, + { + "text": "Stock of Goods $41,442.61", + "bbox_px": [ + 189.89, + 485.32, + 1495.44, + 546.26 + ] + }, + { + "text": "Fixed Assets $458,480.02", + "bbox_px": [ + 188.59, + 538.73, + 1494.14, + 599.66 + ] + }, + { + "text": "Trade Payables $52,358.55", + "bbox_px": [ + 187.29, + 592.13, + 1492.84, + 653.07 + ] + }, + { + "text": "Promissory Notes $173,043.97", + "bbox_px": [ + 185.99, + 645.53, + 1491.54, + 706.47 + ] + }, + { + "text": "Ordinary Shares $328,596.68", + "bbox_px": [ + 184.69, + 698.93, + 1490.23, + 759.87 + ] + }, + { + "text": "Sales Revenue $372,030.90", + "bbox_px": [ + 183.39, + 752.33, + 1488.93, + 813.27 + ] + }, + { + "text": "Compensation Costs $140,235.72", + "bbox_px": [ + 182.09, + 805.74, + 1487.63, + 866.67 + ] + }, + { + "text": "Lease and Services Costs $26,456.43", + "bbox_px": [ + 180.79, + 859.14, + 1486.34, + 920.08 + ] + }, + { + "text": "Net Adjusted Balance $1,701,281.08", + "bbox_px": [ + 262.75, + 916.65, + 1484.98, + 975.56 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1435/1435.pdf b/new_type_trial_balance/1435/1435.pdf new file mode 100644 index 0000000000000000000000000000000000000000..21fe8262c9c1b8f138b21382baae436a64e0778f Binary files /dev/null and b/new_type_trial_balance/1435/1435.pdf differ diff --git a/new_type_trial_balance/1435/1435.xlsx b/new_type_trial_balance/1435/1435.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..ba454875b742a861a9f3476381f1a410bdde1107 Binary files /dev/null and b/new_type_trial_balance/1435/1435.xlsx differ diff --git a/new_type_trial_balance/1435/1435_dirty_1.json b/new_type_trial_balance/1435/1435_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..6f286918ac18f3e3dfcb334487b0f2feed402623 --- /dev/null +++ b/new_type_trial_balance/1435/1435_dirty_1.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1435_dirty_1.png", + "labels": [ + { + "text": "Snow, Long and Webb", + "bbox": [ + 184, + 175, + 651, + 224 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $75,395.39", + "bbox": [ + 182, + 393, + 1487, + 436 + ] + }, + { + "text": "Trade Receivables $33,240.81", + "bbox": [ + 181, + 446, + 1486, + 489 + ] + }, + { + "text": "Stock of Goods $41,442.61", + "bbox": [ + 180, + 500, + 1486, + 543 + ] + }, + { + "text": "Fixed Assets $458,480.02", + "bbox": [ + 180, + 553, + 1485, + 596 + ] + }, + { + "text": "Trade Payables $52,358.55", + "bbox": [ + 179, + 606, + 1485, + 650 + ] + }, + { + "text": "Promissory Notes $173,043.97", + "bbox": [ + 179, + 660, + 1484, + 703 + ] + }, + { + "text": "Ordinary Shares $328,596.68", + "bbox": [ + 178, + 712, + 1483, + 756 + ] + }, + { + "text": "Sales Revenue $372,030.90", + "bbox": [ + 178, + 766, + 1483, + 810 + ] + }, + { + "text": "Compensation Costs $140,235.72", + "bbox": [ + 177, + 819, + 1482, + 863 + ] + }, + { + "text": "Lease and Services Costs $26,456.43", + "bbox": [ + 176, + 873, + 1482, + 917 + ] + }, + { + "text": "Net Adjusted Balance $1,701,281.08", + "bbox": [ + 259, + 929, + 1481, + 972 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1435/1435_dirty_2.json b/new_type_trial_balance/1435/1435_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..91922df83a80d9dc9d94a5d622e37cb55dba038b --- /dev/null +++ b/new_type_trial_balance/1435/1435_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1435_dirty_2.png", + "labels": [ + { + "text": "Snow, Long and Webb", + "bbox": [ + 165, + 180, + 633, + 228 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $75,395.39", + "bbox": [ + 167, + 388, + 1472, + 428 + ] + }, + { + "text": "Trade Receivables $33,240.81", + "bbox": [ + 168, + 441, + 1473, + 481 + ] + }, + { + "text": "Stock of Goods $41,442.61", + "bbox": [ + 168, + 495, + 1473, + 535 + ] + }, + { + "text": "Fixed Assets $458,480.02", + "bbox": [ + 168, + 548, + 1474, + 588 + ] + }, + { + "text": "Trade Payables $52,358.55", + "bbox": [ + 169, + 601, + 1474, + 642 + ] + }, + { + "text": "Promissory Notes $173,043.97", + "bbox": [ + 169, + 655, + 1475, + 695 + ] + }, + { + "text": "Ordinary Shares $328,596.68", + "bbox": [ + 170, + 708, + 1475, + 748 + ] + }, + { + "text": "Sales Revenue $372,030.90", + "bbox": [ + 170, + 762, + 1475, + 802 + ] + }, + { + "text": "Compensation Costs $140,235.72", + "bbox": [ + 171, + 815, + 1476, + 855 + ] + }, + { + "text": "Lease and Services Costs $26,456.43", + "bbox": [ + 171, + 869, + 1476, + 909 + ] + }, + { + "text": "Net Adjusted Balance $1,701,281.08", + "bbox": [ + 255, + 924, + 1477, + 963 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1435/1435_dirty_3.json b/new_type_trial_balance/1435/1435_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..aa7ea37abc14f60f7762d47c5714771c85c36ef1 --- /dev/null +++ b/new_type_trial_balance/1435/1435_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1435_dirty_3.png", + "labels": [ + { + "text": "Snow, Long and Webb", + "bbox": [ + 188, + 169, + 655, + 220 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $75,395.39", + "bbox": [ + 185, + 384, + 1490, + 432 + ] + }, + { + "text": "Trade Receivables $33,240.81", + "bbox": [ + 184, + 437, + 1489, + 485 + ] + }, + { + "text": "Stock of Goods $41,442.61", + "bbox": [ + 183, + 491, + 1488, + 539 + ] + }, + { + "text": "Fixed Assets $458,480.02", + "bbox": [ + 182, + 544, + 1487, + 592 + ] + }, + { + "text": "Trade Payables $52,358.55", + "bbox": [ + 181, + 597, + 1487, + 646 + ] + }, + { + "text": "Promissory Notes $173,043.97", + "bbox": [ + 181, + 651, + 1486, + 699 + ] + }, + { + "text": "Ordinary Shares $328,596.68", + "bbox": [ + 180, + 704, + 1485, + 752 + ] + }, + { + "text": "Sales Revenue $372,030.90", + "bbox": [ + 179, + 758, + 1484, + 806 + ] + }, + { + "text": "Compensation Costs $140,235.72", + "bbox": [ + 178, + 811, + 1484, + 859 + ] + }, + { + "text": "Lease and Services Costs $26,456.43", + "bbox": [ + 177, + 865, + 1483, + 913 + ] + }, + { + "text": "Net Adjusted Balance $1,701,281.08", + "bbox": [ + 260, + 921, + 1482, + 968 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1435/1435_dirty_4.json b/new_type_trial_balance/1435/1435_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..863b39116832b690af34268d2c23ae0248460fe8 --- /dev/null +++ b/new_type_trial_balance/1435/1435_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1435_dirty_4.png", + "labels": [ + { + "text": "Snow, Long and Webb", + "bbox": [ + 177, + 181, + 645, + 227 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $75,395.39", + "bbox": [ + 177, + 401, + 1482, + 435 + ] + }, + { + "text": "Trade Receivables $33,240.81", + "bbox": [ + 176, + 454, + 1481, + 488 + ] + }, + { + "text": "Stock of Goods $41,442.61", + "bbox": [ + 176, + 508, + 1481, + 542 + ] + }, + { + "text": "Fixed Assets $458,480.02", + "bbox": [ + 176, + 561, + 1481, + 595 + ] + }, + { + "text": "Trade Payables $52,358.55", + "bbox": [ + 176, + 614, + 1481, + 649 + ] + }, + { + "text": "Promissory Notes $173,043.97", + "bbox": [ + 175, + 668, + 1481, + 702 + ] + }, + { + "text": "Ordinary Shares $328,596.68", + "bbox": [ + 175, + 721, + 1480, + 755 + ] + }, + { + "text": "Sales Revenue $372,030.90", + "bbox": [ + 175, + 775, + 1480, + 809 + ] + }, + { + "text": "Compensation Costs $140,235.72", + "bbox": [ + 175, + 828, + 1480, + 862 + ] + }, + { + "text": "Lease and Services Costs $26,456.43", + "bbox": [ + 175, + 882, + 1480, + 916 + ] + }, + { + "text": "Net Adjusted Balance $1,701,281.08", + "bbox": [ + 257, + 937, + 1479, + 971 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1435/1435_dirty_5.json b/new_type_trial_balance/1435/1435_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..a45e6bab4283851640c0b834fafda750966491a1 --- /dev/null +++ b/new_type_trial_balance/1435/1435_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1435_dirty_5.png", + "labels": [ + { + "text": "Snow, Long and Webb", + "bbox": [ + 171, + 179, + 638, + 224 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $75,395.39", + "bbox": [ + 172, + 392, + 1477, + 424 + ] + }, + { + "text": "Trade Receivables $33,240.81", + "bbox": [ + 172, + 445, + 1477, + 477 + ] + }, + { + "text": "Stock of Goods $41,442.61", + "bbox": [ + 172, + 499, + 1477, + 531 + ] + }, + { + "text": "Fixed Assets $458,480.02", + "bbox": [ + 172, + 552, + 1477, + 584 + ] + }, + { + "text": "Trade Payables $52,358.55", + "bbox": [ + 172, + 605, + 1477, + 638 + ] + }, + { + "text": "Promissory Notes $173,043.97", + "bbox": [ + 172, + 659, + 1477, + 691 + ] + }, + { + "text": "Ordinary Shares $328,596.68", + "bbox": [ + 172, + 712, + 1477, + 744 + ] + }, + { + "text": "Sales Revenue $372,030.90", + "bbox": [ + 172, + 766, + 1478, + 798 + ] + }, + { + "text": "Compensation Costs $140,235.72", + "bbox": [ + 173, + 819, + 1478, + 851 + ] + }, + { + "text": "Lease and Services Costs $26,456.43", + "bbox": [ + 173, + 873, + 1478, + 905 + ] + }, + { + "text": "Net Adjusted Balance $1,701,281.08", + "bbox": [ + 256, + 928, + 1478, + 960 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1435/1435_pdf.json b/new_type_trial_balance/1435/1435_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..4b0981c94bb0795b2c8ab81a15ed2be9d83d1732 --- /dev/null +++ b/new_type_trial_balance/1435/1435_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1435.pdf", + "labels": [ + { + "text": "Snow, Long and Webb", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 230.71391325000002, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $75,395.39", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.5734077499999, + 152.40670650000004 + ] + }, + { + "text": "Trade Receivables $33,240.81", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock of Goods $41,442.61", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.5734077499999, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $458,480.02", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Trade Payables $52,358.55", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Promissory Notes $173,043.97", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Ordinary Shares $328,596.68", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Sales Revenue $372,030.90", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Compensation Costs $140,235.72", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.571808, + 306.25045650000004 + ] + }, + { + "text": "Lease and Services Costs $26,456.43", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Net Adjusted Balance $1,701,281.08", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1460/1460.json b/new_type_trial_balance/1460/1460.json new file mode 100644 index 0000000000000000000000000000000000000000..2fe03310c5f48a043cae78bce8add243084affa6 --- /dev/null +++ b/new_type_trial_balance/1460/1460.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_1460.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Clark PLC", + "bbox_px": [ + 165.92, + 183.01, + 375.36, + 228.5 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $89,418.35", + "bbox_px": [ + 167.71, + 388.78, + 1473.14, + 428.82 + ] + }, + { + "text": "Outstanding Receivables $62,494.26", + "bbox_px": [ + 168.16, + 442.19, + 1473.58, + 482.23 + ] + }, + { + "text": "Stock on Hand $83,992.55", + "bbox_px": [ + 168.6, + 495.61, + 1474.03, + 535.65 + ] + }, + { + "text": "Fixed Assets and Property $298,639.63", + "bbox_px": [ + 169.05, + 549.03, + 1474.47, + 589.07 + ] + }, + { + "text": "Vendor Liabilities $44,606.68", + "bbox_px": [ + 169.49, + 602.44, + 1474.92, + 642.48 + ] + }, + { + "text": "Debt Instruments Payable $174,408.12", + "bbox_px": [ + 169.94, + 655.86, + 1475.36, + 695.9 + ] + }, + { + "text": "Ordinary Shares $299,045.61", + "bbox_px": [ + 170.38, + 709.27, + 1475.8, + 749.31 + ] + }, + { + "text": "Sales Revenue $364,291.71", + "bbox_px": [ + 170.83, + 762.69, + 1476.25, + 802.73 + ] + }, + { + "text": "Compensation Expense $92,584.85", + "bbox_px": [ + 171.27, + 816.11, + 1476.7, + 856.15 + ] + }, + { + "text": "Lease and Operating Expenses $47,275.25", + "bbox_px": [ + 171.72, + 869.52, + 1477.14, + 909.56 + ] + }, + { + "text": "Adjusted Total Balance $1,556,757.01", + "bbox_px": [ + 255.51, + 925.02, + 1477.6, + 964.37 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1460/1460.pdf b/new_type_trial_balance/1460/1460.pdf new file mode 100644 index 0000000000000000000000000000000000000000..5ea92b160b8f23cf3b35d4917d6303941ec6d972 Binary files /dev/null and b/new_type_trial_balance/1460/1460.pdf differ diff --git a/new_type_trial_balance/1460/1460.xlsx b/new_type_trial_balance/1460/1460.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..1814eaf67fab100339fd717a77f81855b50da3ad Binary files /dev/null and b/new_type_trial_balance/1460/1460.xlsx differ diff --git a/new_type_trial_balance/1460/1460_dirty_1.json b/new_type_trial_balance/1460/1460_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..25b904b89fdd5f29ad156c4759e5cd76edbe5e25 --- /dev/null +++ b/new_type_trial_balance/1460/1460_dirty_1.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1460_dirty_1.png", + "labels": [ + { + "text": "Clark PLC", + "bbox": [ + 159, + 188, + 369, + 235 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $89,418.35", + "bbox": [ + 162, + 400, + 1468, + 448 + ] + }, + { + "text": "Outstanding Receivables $62,494.26", + "bbox": [ + 163, + 453, + 1468, + 501 + ] + }, + { + "text": "Stock on Hand $83,992.55", + "bbox": [ + 164, + 507, + 1469, + 555 + ] + }, + { + "text": "Fixed Assets and Property $298,639.63", + "bbox": [ + 165, + 560, + 1470, + 608 + ] + }, + { + "text": "Vendor Liabilities $44,606.68", + "bbox": [ + 165, + 613, + 1471, + 662 + ] + }, + { + "text": "Debt Instruments Payable $174,408.12", + "bbox": [ + 166, + 667, + 1471, + 715 + ] + }, + { + "text": "Ordinary Shares $299,045.61", + "bbox": [ + 167, + 720, + 1472, + 768 + ] + }, + { + "text": "Sales Revenue $364,291.71", + "bbox": [ + 168, + 774, + 1473, + 822 + ] + }, + { + "text": "Compensation Expense $92,584.85", + "bbox": [ + 169, + 827, + 1474, + 875 + ] + }, + { + "text": "Lease and Operating Expenses $47,275.25", + "bbox": [ + 169, + 881, + 1475, + 929 + ] + }, + { + "text": "Adjusted Total Balance $1,556,757.01", + "bbox": [ + 253, + 936, + 1475, + 983 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1460/1460_dirty_2.json b/new_type_trial_balance/1460/1460_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..76127d3851643ed2f503499f73296351137c1656 --- /dev/null +++ b/new_type_trial_balance/1460/1460_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1460_dirty_2.png", + "labels": [ + { + "text": "Clark PLC", + "bbox": [ + 186, + 174, + 395, + 221 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $89,418.35", + "bbox": [ + 183, + 401, + 1489, + 447 + ] + }, + { + "text": "Outstanding Receivables $62,494.26", + "bbox": [ + 183, + 454, + 1488, + 500 + ] + }, + { + "text": "Stock on Hand $83,992.55", + "bbox": [ + 182, 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0000000000000000000000000000000000000000..411a6ace8bd738598239ee1a30de62005e1158f4 --- /dev/null +++ b/new_type_trial_balance/1460/1460_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1460_dirty_3.png", + "labels": [ + { + "text": "Clark PLC", + "bbox": [ + 166, + 179, + 376, + 224 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $89,418.35", + "bbox": [ + 168, + 389, + 1473, + 427 + ] + }, + { + "text": "Outstanding Receivables $62,494.26", + "bbox": [ + 168, + 442, + 1473, + 480 + ] + }, + { + "text": "Stock on Hand $83,992.55", + "bbox": [ + 169, + 496, + 1474, + 534 + ] + }, + { + "text": "Fixed Assets and Property $298,639.63", + "bbox": [ + 169, + 549, + 1474, + 587 + ] + }, + { + "text": "Vendor Liabilities $44,606.68", + "bbox": [ + 169, + 602, + 1475, + 641 + ] + }, + { + "text": "Debt Instruments Payable $174,408.12", + "bbox": [ + 170, + 656, + 1475, + 694 + ] + }, + { + "text": "Ordinary Shares $299,045.61", + "bbox": [ + 170, + 709, + 1475, + 747 + ] + }, + { + "text": "Sales Revenue $364,291.71", + "bbox": [ + 171, + 763, + 1476, + 801 + ] + }, + { + "text": "Compensation Expense $92,584.85", + "bbox": [ + 171, + 816, + 1476, + 854 + ] + }, + { + "text": "Lease and Operating Expenses $47,275.25", + "bbox": [ + 171, + 870, + 1477, + 908 + ] + }, + { + "text": "Adjusted Total Balance $1,556,757.01", + "bbox": [ + 255, + 925, + 1477, + 963 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1460/1460_dirty_4.json b/new_type_trial_balance/1460/1460_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..2cef82d6fdea80499d7968a5f257de3900a12f8b --- /dev/null +++ b/new_type_trial_balance/1460/1460_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1460_dirty_4.png", + "labels": [ + { + "text": "Clark PLC", + "bbox": [ + 190, + 170, + 399, + 217 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $89,418.35", + "bbox": [ + 186, + 391, + 1491, + 442 + ] + }, + { + "text": "Outstanding Receivables $62,494.26", + "bbox": [ + 185, + 444, + 1491, + 495 + ] + }, + { + "text": "Stock on Hand $83,992.55", + "bbox": [ + 184, + 498, + 1490, + 549 + ] + }, + { + "text": "Fixed Assets and Property $298,639.63", + "bbox": [ + 183, + 551, + 1489, + 602 + ] + }, + { + "text": "Vendor Liabilities $44,606.68", + "bbox": [ + 183, + 604, + 1488, + 656 + ] + }, + { + "text": "Debt Instruments Payable $174,408.12", + "bbox": [ + 182, + 658, + 1487, + 709 + ] + }, + { + "text": "Ordinary Shares $299,045.61", + "bbox": [ + 181, + 711, + 1486, + 762 + ] + }, + { + "text": "Sales Revenue $364,291.71", + "bbox": [ + 180, + 765, + 1485, + 816 + ] + }, + { + "text": "Compensation Expense $92,584.85", + "bbox": [ + 179, + 818, + 1484, + 869 + ] + }, + { + "text": "Lease and Operating Expenses $47,275.25", + "bbox": [ + 178, + 872, + 1483, + 923 + ] + }, + { + "text": "Adjusted Total Balance $1,556,757.01", + "bbox": [ + 260, + 928, + 1482, + 978 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1460/1460_dirty_5.json b/new_type_trial_balance/1460/1460_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..b852188809329317f7b9a8f48c2f64224e7b9213 --- /dev/null +++ b/new_type_trial_balance/1460/1460_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1460_dirty_5.png", + "labels": [ + { + "text": "Clark PLC", + "bbox": [ + 168, + 177, + 377, + 222 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $89,418.35", + "bbox": [ + 169, + 390, + 1474, + 426 + ] + }, + { + "text": "Outstanding Receivables $62,494.26", + "bbox": [ + 169, + 443, + 1474, + 479 + ] + }, + { + "text": "Stock on Hand $83,992.55", + "bbox": [ + 169, + 497, + 1475, + 533 + ] + }, + { + "text": "Fixed Assets and Property $298,639.63", + "bbox": [ + 170, + 550, + 1475, + 586 + ] + }, + { + "text": "Vendor Liabilities $44,606.68", + "bbox": [ + 170, + 603, + 1475, + 640 + ] + }, + { + "text": "Debt Instruments Payable $174,408.12", + "bbox": [ + 170, + 657, + 1476, + 693 + ] + }, + { + "text": "Ordinary Shares $299,045.61", + "bbox": [ + 171, + 710, + 1476, + 746 + ] + }, + { + "text": "Sales Revenue $364,291.71", + "bbox": [ + 171, + 764, + 1476, + 800 + ] + }, + { + "text": "Compensation Expense $92,584.85", + "bbox": [ + 171, + 817, + 1477, + 853 + ] + }, + { + "text": "Lease and Operating Expenses $47,275.25", + "bbox": [ + 172, + 871, + 1477, + 907 + ] + }, + { + "text": "Adjusted Total Balance $1,556,757.01", + "bbox": [ + 255, + 926, + 1477, + 962 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1460/1460_pdf.json b/new_type_trial_balance/1460/1460_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..4521895378e5778b4ffdc864cd39d3561c050000 --- /dev/null +++ b/new_type_trial_balance/1460/1460_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1460.pdf", + "labels": [ + { + "text": "Clark PLC", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 137.96216325, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $89,418.35", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.5734077499999, + 152.40670650000004 + ] + }, + { + "text": "Outstanding Receivables $62,494.26", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock on Hand $83,992.55", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.5734077499999, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets and Property $298,639.63", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Vendor Liabilities $44,606.68", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Debt Instruments Payable $174,408.12", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Ordinary Shares $299,045.61", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Sales Revenue $364,291.71", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Compensation Expense $92,584.85", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.5734077499999, + 306.25045650000004 + ] + }, + { + "text": "Lease and Operating Expenses $47,275.25", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Adjusted Total Balance $1,556,757.01", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1463/1463.json b/new_type_trial_balance/1463/1463.json new file mode 100644 index 0000000000000000000000000000000000000000..178c81a0353a5701d978a6904e0d7884568fc578 --- /dev/null +++ b/new_type_trial_balance/1463/1463.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_1463.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Wiley PLC", + "bbox_px": [ + 149.35, + 190.69, + 363.98, + 239.82 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $87,302.73", + "bbox_px": [ + 154.78, + 377.95, + 1460.33, + 440.08 + ] + }, + { + "text": "Trade Receivables $46,961.58", + "bbox_px": [ + 156.13, + 431.35, + 1461.67, + 493.48 + ] + }, + { + "text": "Stock of Goods $102,900.12", + "bbox_px": [ + 157.48, + 484.75, + 1463.02, + 546.88 + ] + }, + { + "text": "Fixed Assets $299,859.30", + "bbox_px": [ + 158.83, + 538.15, + 1464.37, + 600.29 + ] + }, + { + "text": "Trade Payables $40,822.36", + "bbox_px": [ + 160.18, + 591.56, + 1465.72, + 653.69 + ] + }, + { + "text": "Borrowings $238,579.23", + "bbox_px": [ + 161.53, + 644.96, + 1467.07, + 707.09 + ] + }, + { + "text": "Ordinary Shares $220,906.67", + "bbox_px": [ + 162.88, + 698.36, + 1468.42, + 760.49 + ] + }, + { + "text": "Sales Revenue $495,895.18", + "bbox_px": [ + 164.23, + 751.76, + 1469.77, + 813.89 + ] + }, + { + "text": "Compensation Costs $73,172.37", + "bbox_px": [ + 165.58, + 805.16, + 1471.12, + 867.29 + ] + }, + { + "text": "Lease and Utility Costs $20,287.75", + "bbox_px": [ + 166.93, + 858.56, + 1472.47, + 920.69 + ] + }, + { + "text": "Net Adjusted Balance $1,626,687.29", + "bbox_px": [ + 251.64, + 914.04, + 1473.87, + 974.07 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1463/1463.pdf b/new_type_trial_balance/1463/1463.pdf new file mode 100644 index 0000000000000000000000000000000000000000..9b4c130b3e1c339b417b5a918bf429669adc675c Binary files /dev/null and b/new_type_trial_balance/1463/1463.pdf differ diff --git a/new_type_trial_balance/1463/1463.xlsx b/new_type_trial_balance/1463/1463.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..47a9906fb989389d881a2c6659b997a5c5851dc9 Binary files /dev/null and b/new_type_trial_balance/1463/1463.xlsx differ diff --git a/new_type_trial_balance/1463/1463_dirty_1.json b/new_type_trial_balance/1463/1463_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..a5e1c4363660a0547bc2c15a1830aa705066c9ae --- /dev/null +++ b/new_type_trial_balance/1463/1463_dirty_1.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1463_dirty_1.png", + "labels": [ + { + "text": "Wiley PLC", + "bbox": [ + 186, + 167, + 400, + 214 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $87,302.73", + "bbox": [ + 184, + 385, + 1489, + 431 + ] + }, + { + "text": "Trade Receivables $46,961.58", + "bbox": [ + 183, + 438, + 1488, + 484 + ] + }, + { + "text": "Stock of Goods $102,900.12", + "bbox": [ + 182, + 492, + 1487, + 538 + ] + }, + { + "text": "Fixed Assets $299,859.30", + "bbox": [ + 181, + 545, + 1487, + 591 + ] + }, + { + "text": "Trade Payables $40,822.36", + "bbox": [ + 181, + 598, + 1486, + 645 + ] + }, + { + "text": "Borrowings $238,579.23", + "bbox": [ + 180, + 652, + 1485, + 698 + ] + }, + { + "text": "Ordinary Shares $220,906.67", + "bbox": [ + 179, + 705, + 1485, + 751 + ] + }, + { + "text": "Sales Revenue $495,895.18", + "bbox": [ + 179, + 759, + 1484, + 805 + ] + }, + { + "text": "Compensation Costs $73,172.37", + "bbox": [ + 178, + 812, + 1483, + 858 + ] + }, + { + "text": "Lease and Utility Costs $20,287.75", + "bbox": [ + 177, + 866, + 1482, + 912 + ] + }, + { + "text": "Net Adjusted Balance $1,626,687.29", + "bbox": [ + 259, + 922, + 1482, + 967 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1463/1463_dirty_2.json b/new_type_trial_balance/1463/1463_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..a1a6e9dcf7092195fc102f7747bf8602fe2578d3 --- /dev/null +++ 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+ 421 + ] + }, + { + "text": "Trade Receivables $46,961.58", + "bbox": [ + 188, + 419, + 1493, + 474 + ] + }, + { + "text": "Stock of Goods $102,900.12", + "bbox": [ + 186, + 473, + 1492, + 528 + ] + }, + { + "text": "Fixed Assets $299,859.30", + "bbox": [ + 185, + 526, + 1491, + 581 + ] + }, + { + "text": "Trade Payables $40,822.36", + "bbox": [ + 184, + 578, + 1490, + 635 + ] + }, + { + "text": "Borrowings $238,579.23", + "bbox": [ + 183, + 632, + 1489, + 688 + ] + }, + { + "text": "Ordinary Shares $220,906.67", + "bbox": [ + 182, + 685, + 1488, + 741 + ] + }, + { + "text": "Sales Revenue $495,895.18", + "bbox": [ + 181, + 739, + 1486, + 795 + ] + }, + { + "text": "Compensation Costs $73,172.37", + "bbox": [ + 180, + 792, + 1485, + 848 + ] + }, + { + "text": "Lease and Utility Costs $20,287.75", + "bbox": [ + 179, + 846, + 1484, + 902 + ] + }, + { + "text": "Net Adjusted Balance $1,626,687.29", + "bbox": [ + 261, + 903, + 1483, + 957 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1463/1463_pdf.json b/new_type_trial_balance/1463/1463_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..99242d83733ab311dc62c01fb73be34754845efa --- /dev/null +++ b/new_type_trial_balance/1463/1463_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1463.pdf", + "labels": [ + { + "text": "Wiley PLC", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 139.58441325, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $87,302.73", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.5734077499999, + 152.40670650000004 + ] + }, + { + "text": "Trade Receivables $46,961.58", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock of Goods $102,900.12", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.571808, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $299,859.30", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Trade Payables $40,822.36", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Borrowings $238,579.23", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Ordinary Shares $220,906.67", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Sales Revenue $495,895.18", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Compensation Costs $73,172.37", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.5734077499999, + 306.25045650000004 + ] + }, + { + "text": "Lease and Utility Costs $20,287.75", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Net Adjusted Balance $1,626,687.29", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1498/1498.png b/new_type_trial_balance/1498/1498.png new file mode 100644 index 0000000000000000000000000000000000000000..7307b25274ae8401c64a08deb6a0717574b8a9cc --- /dev/null +++ b/new_type_trial_balance/1498/1498.png @@ -0,0 +1,3 @@ +version https://git-lfs.github.com/spec/v1 +oid sha256:1859e138791bcde3ad1401830a1fb049b3c9423dd050c8dee8761c2b454662c4 +size 5702027 diff --git a/new_type_trial_balance/1498/1498_dirty_1.png b/new_type_trial_balance/1498/1498_dirty_1.png new file mode 100644 index 0000000000000000000000000000000000000000..387969cd4e464ad3300879fa5aa26aa578f86096 --- /dev/null +++ b/new_type_trial_balance/1498/1498_dirty_1.png @@ -0,0 +1,3 @@ +version https://git-lfs.github.com/spec/v1 +oid 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170.97, + 657.19, + 1476.35, + 694.55 + ] + }, + { + "text": "Ordinary Shares $233,211.19", + "bbox_px": [ + 171.31, + 710.61, + 1476.72, + 747.97 + ] + }, + { + "text": "Sales Revenue $280,311.19", + "bbox_px": [ + 171.64, + 764.02, + 1477.06, + 801.38 + ] + }, + { + "text": "Compensation Expense $76,254.37", + "bbox_px": [ + 171.98, + 817.44, + 1477.36, + 854.8 + ] + }, + { + "text": "Facility Costs $43,277.69", + "bbox_px": [ + 172.31, + 870.86, + 1477.7, + 908.22 + ] + }, + { + "text": "Final Adjusted Total $1,464,149.33", + "bbox_px": [ + 255.99, + 926.36, + 1478.04, + 963.19 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1500/1500.pdf b/new_type_trial_balance/1500/1500.pdf new file mode 100644 index 0000000000000000000000000000000000000000..0231db7cc4c72c5b1b1b653e46e8bf82d25a4fcc Binary files /dev/null and b/new_type_trial_balance/1500/1500.pdf differ diff --git a/new_type_trial_balance/1500/1500.xlsx b/new_type_trial_balance/1500/1500.xlsx new 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$278,365.97", + "bbox": [ + 176, + 551, + 1481, + 585 + ] + }, + { + "text": "Trade Payables $53,626.91", + "bbox": [ + 176, + 604, + 1481, + 639 + ] + }, + { + "text": "Borrowings $249,336.82", + "bbox": [ + 175, + 658, + 1481, + 692 + ] + }, + { + "text": "Ordinary Shares $233,211.19", + "bbox": [ + 175, + 711, + 1480, + 745 + ] + }, + { + "text": "Sales Revenue $280,311.19", + "bbox": [ + 175, + 765, + 1480, + 799 + ] + }, + { + "text": "Compensation Expense $76,254.37", + "bbox": [ + 175, + 818, + 1480, + 852 + ] + }, + { + "text": "Facility Costs $43,277.69", + "bbox": [ + 175, + 872, + 1480, + 906 + ] + }, + { + "text": "Final Adjusted Total $1,464,149.33", + "bbox": [ + 257, + 927, + 1479, + 961 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1500/1500_dirty_2.json b/new_type_trial_balance/1500/1500_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..0c3aae8ec59bc0fc253421f2fc1b26057583213f --- /dev/null +++ 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}, + { + "text": "Compensation Expense $76,254.37", + "bbox": [ + 174, + 810, + 1479, + 842 + ] + }, + { + "text": "Facility Costs $43,277.69", + "bbox": [ + 174, + 864, + 1479, + 896 + ] + }, + { + "text": "Final Adjusted Total $1,464,149.33", + "bbox": [ + 257, + 919, + 1479, + 951 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1500/1500_dirty_3.json b/new_type_trial_balance/1500/1500_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..36455d3f5f19965414084e2eefc08dac9f323110 --- /dev/null +++ b/new_type_trial_balance/1500/1500_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1500_dirty_3.png", + "labels": [ + { + "text": "Price, Rogers and Duncan", + "bbox": [ + 187, + 170, + 732, + 222 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $114,671.33", + "bbox": [ + 184, + 384, + 1489, + 432 + ] + }, + { + "text": "Trade Receivables $39,688.54", + "bbox": [ + 183, + 437, + 1489, + 485 + ] + }, + { + "text": "Stock of Goods $95,405.32", + "bbox": [ + 183, + 491, + 1488, + 539 + ] + }, + { + "text": "Fixed Assets $278,365.97", + "bbox": [ + 182, + 544, + 1487, + 592 + ] + }, + { + "text": "Trade Payables $53,626.91", + "bbox": [ + 181, + 597, + 1486, + 646 + ] + }, + { + "text": "Borrowings $249,336.82", + "bbox": [ + 180, + 651, + 1486, + 699 + ] + }, + { + "text": "Ordinary Shares $233,211.19", + "bbox": [ + 180, + 704, + 1485, + 752 + ] + }, + { + "text": "Sales Revenue $280,311.19", + "bbox": [ + 179, + 758, + 1484, + 806 + ] + }, + { + "text": "Compensation Expense $76,254.37", + "bbox": [ + 178, + 811, + 1483, + 859 + ] + }, + { + "text": "Facility Costs $43,277.69", + "bbox": [ + 177, + 865, + 1483, + 913 + ] + }, + { + "text": "Final Adjusted Total $1,464,149.33", + "bbox": [ + 260, + 921, + 1482, + 968 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1500/1500_dirty_4.json b/new_type_trial_balance/1500/1500_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..d15cbb1dc7bddde2aeefd53d9fe77e5fbc7989d8 --- /dev/null +++ b/new_type_trial_balance/1500/1500_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1500_dirty_4.png", + "labels": [ + { + "text": "Price, Rogers and Duncan", + "bbox": [ + 172, + 180, + 716, + 225 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $114,671.33", + "bbox": [ + 172, + 392, + 1477, + 424 + ] + }, + { + "text": "Trade Receivables $39,688.54", + "bbox": [ + 172, + 445, + 1477, + 477 + ] + }, + { + "text": "Stock of Goods $95,405.32", + "bbox": [ + 172, + 499, + 1477, + 531 + ] + }, + { + "text": "Fixed Assets $278,365.97", + "bbox": [ + 172, + 552, + 1477, + 584 + ] + }, + { + "text": "Trade Payables $53,626.91", + "bbox": [ + 173, + 605, + 1478, + 638 + ] + }, + { + "text": "Borrowings $249,336.82", + "bbox": [ + 173, + 659, + 1478, + 691 + ] + }, + { + "text": "Ordinary Shares $233,211.19", + "bbox": [ + 173, + 712, + 1478, + 744 + ] + }, + { + "text": "Sales Revenue $280,311.19", + "bbox": [ + 173, + 766, + 1478, + 798 + ] + }, + { + "text": "Compensation Expense $76,254.37", + "bbox": [ + 173, + 819, + 1478, + 851 + ] + }, + { + "text": "Facility Costs $43,277.69", + "bbox": [ + 173, + 873, + 1478, + 905 + ] + }, + { + "text": "Final Adjusted Total $1,464,149.33", + "bbox": [ + 256, + 928, + 1478, + 959 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1500/1500_dirty_5.json b/new_type_trial_balance/1500/1500_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..86a20189b9a6e4ca9d314c8684c42ace74ee190a --- /dev/null +++ b/new_type_trial_balance/1500/1500_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1500_dirty_5.png", + "labels": [ + { + "text": "Price, Rogers and Duncan", + "bbox": [ + 191, + 167, + 736, + 221 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $114,671.33", + "bbox": [ + 187, + 382, + 1493, + 435 + ] + }, + { + "text": "Trade Receivables $39,688.54", + "bbox": [ + 186, + 435, + 1492, + 488 + ] + }, + { + "text": "Stock of Goods $95,405.32", + "bbox": [ + 185, + 489, + 1491, + 542 + ] + }, + { + "text": "Fixed Assets $278,365.97", + "bbox": [ + 184, + 542, + 1490, + 595 + ] + }, + { + "text": "Trade Payables $53,626.91", + "bbox": [ + 183, + 595, + 1489, + 649 + ] + }, + { + "text": "Borrowings $249,336.82", + "bbox": [ + 182, + 649, + 1488, + 702 + ] + }, + { + "text": "Ordinary Shares $233,211.19", + "bbox": [ + 181, + 702, + 1487, + 755 + ] + }, + { + "text": "Sales Revenue $280,311.19", + "bbox": [ + 180, + 756, + 1486, + 809 + ] + }, + { + "text": "Compensation Expense $76,254.37", + "bbox": [ + 179, + 809, + 1485, + 862 + ] + }, + { + "text": "Facility Costs $43,277.69", + "bbox": [ + 178, + 863, + 1484, + 916 + ] + }, + { + "text": "Final Adjusted Total $1,464,149.33", + "bbox": [ + 260, + 919, + 1483, + 971 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1500/1500_pdf.json b/new_type_trial_balance/1500/1500_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..3805dbb023f39f38934d338a539eaaeb075a63ff --- /dev/null +++ b/new_type_trial_balance/1500/1500_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1500.pdf", + "labels": [ + { + "text": "Price, Rogers and Duncan", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 258.74891324999993, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $114,671.33", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.58460525, + 152.40670650000004 + ] + }, + { + "text": "Trade Receivables $39,688.54", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock of Goods $95,405.32", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.5734077499999, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $278,365.97", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Trade Payables $53,626.91", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Borrowings $249,336.82", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Ordinary Shares $233,211.19", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.58460525, + 267.78951900000004 + ] + }, + { + "text": "Sales Revenue $280,311.19", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.58460525, + 287.01998775000004 + ] + }, + { + "text": "Compensation Expense $76,254.37", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.5734077499999, + 306.25045650000004 + ] + }, + { + "text": "Facility Costs $43,277.69", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Final Adjusted Total $1,464,149.33", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/152/152.json b/new_type_trial_balance/152/152.json new file mode 100644 index 0000000000000000000000000000000000000000..2f1154c4e52cd5cec9c3d15543a9a9a723ce83d2 --- /dev/null +++ b/new_type_trial_balance/152/152.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_152.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Cook, Rodriguez and Holder", + "bbox_px": [ + 196.82, + 164.04, + 785.96, + 221.76 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $133,430.97", + "bbox_px": [ + 192.06, + 378.88, + 1497.6, + 439.07 + ] + }, + { + "text": "Outstanding Receivables $62,969.00", + "bbox_px": [ + 190.79, + 432.29, + 1496.34, + 492.47 + ] + }, + { + "text": "Stock on Hand $79,044.67", + "bbox_px": [ + 189.52, + 485.69, + 1495.07, + 545.88 + ] + }, + { + "text": "Fixed Assets $413,007.93", + "bbox_px": [ + 188.25, + 539.09, + 1493.79, + 599.28 + ] + }, + { + "text": "Outstanding Liabilities $24,761.91", + "bbox_px": [ + 186.98, + 592.5, + 1492.53, + 652.68 + ] + }, + { + "text": "Debt Instruments $246,634.90", + "bbox_px": [ + 185.71, + 645.9, + 1491.25, + 706.09 + ] + }, + { + "text": "Ordinary Shares $177,240.22", + "bbox_px": [ + 184.44, + 699.3, + 1489.98, + 759.49 + ] + }, + { + "text": "Income $371,386.75", + "bbox_px": [ + 183.17, + 752.7, + 1488.71, + 812.89 + ] + }, + { + "text": "Compensation Costs $66,828.83", + "bbox_px": [ + 181.9, + 806.11, + 1487.45, + 866.29 + ] + }, + { + "text": "Lease and Service Costs $44,224.11", + "bbox_px": [ + 180.63, + 859.51, + 1486.18, + 919.7 + ] + }, + { + "text": "Adjusted Final Balance $1,619,529.29", + "bbox_px": [ + 262.62, + 916.98, + 1484.85, + 975.18 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/152/152.pdf b/new_type_trial_balance/152/152.pdf new file mode 100644 index 0000000000000000000000000000000000000000..23bda9bdd319e418eef5d3651e555cea15f036a2 Binary files /dev/null and b/new_type_trial_balance/152/152.pdf differ diff --git a/new_type_trial_balance/152/152.xlsx b/new_type_trial_balance/152/152.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..66dffc3d241d8a481c39cbac24db74a37f631061 Binary files /dev/null and b/new_type_trial_balance/152/152.xlsx differ diff --git a/new_type_trial_balance/152/152_dirty_1.json b/new_type_trial_balance/152/152_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..ce13aee22be821d5f25fd5121ae3ab7381d1f98c --- /dev/null +++ b/new_type_trial_balance/152/152_dirty_1.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_152_dirty_1.png", + "labels": [ + { + "text": "Cook, Rodriguez and Holder", + "bbox": [ + 189, + 168, + 778, + 222 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $133,430.97", + "bbox": [ + 186, + 383, + 1491, + 433 + ] + }, + { + "text": "Outstanding Receivables $62,969.00", + "bbox": [ + 185, + 436, + 1490, + 486 + ] + }, + { + "text": "Stock on Hand $79,044.67", + "bbox": [ + 184, + 490, + 1489, + 540 + ] + }, + { + "text": "Fixed Assets $413,007.93", + "bbox": [ + 183, + 543, + 1489, + 593 + ] + }, + { + "text": "Outstanding Liabilities $24,761.91", + "bbox": [ + 182, + 596, + 1488, + 647 + ] + }, + { + "text": "Debt Instruments $246,634.90", + "bbox": [ + 181, + 650, + 1487, + 700 + ] + }, + { + "text": "Ordinary Shares $177,240.22", + "bbox": [ + 181, + 703, + 1486, + 753 + ] + }, + { + "text": "Income $371,386.75", + "bbox": [ + 180, + 757, + 1485, + 807 + ] + }, + { + "text": "Compensation Costs $66,828.83", + "bbox": [ + 179, + 810, + 1484, + 860 + ] + }, + { + "text": "Lease and Service Costs $44,224.11", + "bbox": [ + 178, + 864, + 1483, + 914 + ] + }, + { + "text": "Adjusted Final Balance $1,619,529.29", + "bbox": [ + 260, + 920, + 1482, + 969 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/152/152_dirty_2.json b/new_type_trial_balance/152/152_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..264f057566fb3a5fe6039501ed5992c0f9bff224 --- /dev/null +++ b/new_type_trial_balance/152/152_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_152_dirty_2.png", + "labels": [ + { + "text": "Cook, Rodriguez and Holder", + "bbox": [ + 176, + 171, + 764, + 216 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $133,430.97", + "bbox": [ + 176, + 382, + 1481, + 414 + ] + }, + { + "text": "Outstanding Receivables $62,969.00", + "bbox": [ + 176, + 435, + 1481, + 467 + ] + }, + { + "text": "Stock on Hand $79,044.67", + "bbox": [ + 175, + 489, + 1480, + 521 + ] + }, + { + "text": "Fixed Assets $413,007.93", + "bbox": [ + 175, + 542, + 1480, + 574 + ] + }, + { + "text": "Outstanding 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"new_type_trial_balance_152_dirty_3.png", + "labels": [ + { + "text": "Cook, Rodriguez and Holder", + "bbox": [ + 184, + 172, + 772, + 222 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $133,430.97", + "bbox": [ + 181, + 387, + 1487, + 429 + ] + }, + { + "text": "Outstanding Receivables $62,969.00", + "bbox": [ + 181, + 440, + 1486, + 482 + ] + }, + { + "text": "Stock on Hand $79,044.67", + "bbox": [ + 180, + 494, + 1486, + 536 + ] + }, + { + "text": "Fixed Assets $413,007.93", + "bbox": [ + 180, + 547, + 1485, + 589 + ] + }, + { + "text": "Outstanding Liabilities $24,761.91", + "bbox": [ + 179, + 600, + 1484, + 643 + ] + }, + { + "text": "Debt Instruments $246,634.90", + "bbox": [ + 179, + 654, + 1484, + 696 + ] + }, + { + "text": "Ordinary Shares $177,240.22", + "bbox": [ + 178, + 707, + 1483, + 749 + ] + }, + { + "text": "Income $371,386.75", + "bbox": [ + 177, + 761, + 1483, + 803 + ] + }, + { + "text": "Compensation Costs $66,828.83", + "bbox": [ + 177, + 814, + 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163, + 594, + 1468, + 649 + ] + }, + { + "text": "Debt Instruments Payable $194,939.67", + "bbox": [ + 164, + 648, + 1469, + 702 + ] + }, + { + "text": "Ordinary Shares $250,377.36", + "bbox": [ + 165, + 701, + 1470, + 755 + ] + }, + { + "text": "Sales Revenue $241,191.99", + "bbox": [ + 166, + 755, + 1471, + 809 + ] + }, + { + "text": "Compensation Expense $170,239.16", + "bbox": [ + 167, + 808, + 1472, + 862 + ] + }, + { + "text": "Lease and Service Charges $33,451.78", + "bbox": [ + 168, + 862, + 1473, + 916 + ] + }, + { + "text": "Final Adjusted Total $1,676,978.83", + "bbox": [ + 252, + 917, + 1474, + 970 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1549/1549_dirty_2.json b/new_type_trial_balance/1549/1549_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..9a15a5a1b305eb220bffdb0d6874c37dedf25ffa --- /dev/null +++ b/new_type_trial_balance/1549/1549_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": 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"text": "Stock on Hand $101,932.46", + "bbox": [ + 187, + 487, + 1492, + 543 + ] + }, + { + "text": "Fixed Assets and Property $438,694.99", + "bbox": [ + 186, + 540, + 1491, + 596 + ] + }, + { + "text": "Outstanding Liabilities $65,248.91", + "bbox": [ + 185, + 593, + 1490, + 650 + ] + }, + { + "text": "Debt Instruments Payable $194,939.67", + "bbox": [ + 184, + 647, + 1489, + 703 + ] + }, + { + "text": "Ordinary Shares $250,377.36", + "bbox": [ + 183, + 700, + 1488, + 756 + ] + }, + { + "text": "Sales Revenue $241,191.99", + "bbox": [ + 181, + 754, + 1487, + 810 + ] + }, + { + "text": "Compensation Expense $170,239.16", + "bbox": [ + 180, + 807, + 1486, + 863 + ] + }, + { + "text": "Lease and Service Charges $33,451.78", + "bbox": [ + 179, + 861, + 1485, + 917 + ] + }, + { + "text": "Final Adjusted Total $1,676,978.83", + "bbox": [ + 261, + 918, + 1483, + 972 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1549/1549_dirty_4.json 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871, + 1477, + 907 + ] + }, + { + "text": "Final Adjusted Total $1,676,978.83", + "bbox": [ + 255, + 926, + 1477, + 962 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1549/1549_pdf.json b/new_type_trial_balance/1549/1549_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..75163e24ccba4b76c8d5f7dcbe152a9e3b6e840c --- /dev/null +++ b/new_type_trial_balance/1549/1549_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1549.pdf", + "labels": [ + { + "text": "Lucero, Kennedy and Johnson", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 292.86341325, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $108,069.20", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.571808, + 152.40670650000004 + ] + }, + { + "text": "Outstanding Receivables $72,833.31", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock on Hand $101,932.46", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.571808, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets and Property $438,694.99", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Outstanding Liabilities $65,248.91", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Debt Instruments Payable $194,939.67", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Ordinary Shares $250,377.36", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Sales Revenue $241,191.99", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Compensation Expense $170,239.16", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 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Adjusted Balance $1,760,547.78", + "bbox_px": [ + 261.64, + 919.47, + 1483.86, + 972.28 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1567/1567.pdf b/new_type_trial_balance/1567/1567.pdf new file mode 100644 index 0000000000000000000000000000000000000000..88ef267358f2eb4a269b365bccc0ae9f15ef09c3 Binary files /dev/null and b/new_type_trial_balance/1567/1567.pdf differ diff --git a/new_type_trial_balance/1567/1567.xlsx b/new_type_trial_balance/1567/1567.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..0a13221ebf3fc155b59f86ad406693682813e519 Binary files /dev/null and b/new_type_trial_balance/1567/1567.xlsx differ diff --git a/new_type_trial_balance/1567/1567_dirty_1.json b/new_type_trial_balance/1567/1567_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..57526593b98e14fa6a6e35198e54e1c082de321b --- /dev/null +++ b/new_type_trial_balance/1567/1567_dirty_1.json @@ -0,0 +1,115 @@ +{ + "document": 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+ }, + { + "text": "Operational Expenses $43,254.34", + "bbox": [ + 179, + 870, + 1484, + 924 + ] + }, + { + "text": "Net Adjusted Balance $1,760,547.78", + "bbox": [ + 261, + 926, + 1483, + 979 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1567/1567_dirty_2.json b/new_type_trial_balance/1567/1567_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..4ad6537492a9fbcbf728f92f946f465e99bb376c --- /dev/null +++ b/new_type_trial_balance/1567/1567_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1567_dirty_2.png", + "labels": [ + { + "text": "Bennett, Robertson and Mercado", + "bbox": [ + 185, + 170, + 873, + 222 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $73,003.00", + "bbox": [ + 182, + 386, + 1488, + 430 + ] + }, + { + "text": "Outstanding Invoices $78,766.92", + "bbox": [ + 182, + 439, + 1487, + 483 + ] + }, + { + "text": "Stock on Hand $53,749.83", + "bbox": [ + 181, + 493, + 1486, + 537 + ] + }, + { + "text": "Fixed Assets $404,662.56", + "bbox": [ + 180, + 546, + 1486, + 590 + ] + }, + { + "text": "Pending Liabilities $53,226.87", + "bbox": [ + 180, + 599, + 1485, + 644 + ] + }, + { + "text": "Borrowings Due $214,359.21", + "bbox": [ + 179, + 653, + 1484, + 697 + ] + }, + { + "text": "Equity Shares $326,026.53", + "bbox": [ + 179, + 706, + 1484, + 750 + ] + }, + { + "text": "Income $411,934.58", + "bbox": [ + 178, + 760, + 1483, + 804 + ] + }, + { + "text": "Compensation Costs $101,563.94", + "bbox": [ + 177, + 813, + 1483, + 857 + ] + }, + { + "text": "Operational Expenses $43,254.34", + "bbox": [ + 177, + 867, + 1482, + 911 + ] + }, + { + "text": "Net Adjusted Balance $1,760,547.78", + "bbox": [ + 259, + 923, + 1481, + 966 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1567/1567_dirty_3.json b/new_type_trial_balance/1567/1567_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..82e7cd5aa1a8622beacb777961d5a441b50b2df5 --- /dev/null +++ b/new_type_trial_balance/1567/1567_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1567_dirty_3.png", + "labels": [ + { + "text": "Bennett, Robertson and Mercado", + "bbox": [ + 169, + 177, + 857, + 225 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $73,003.00", + "bbox": [ + 170, + 390, + 1475, + 426 + ] + }, + { + "text": "Outstanding Invoices $78,766.92", + "bbox": [ + 170, + 443, + 1475, + 479 + ] + }, + { + "text": "Stock on Hand $53,749.83", + "bbox": [ + 170, + 497, + 1475, + 533 + ] + }, + { + "text": "Fixed Assets $404,662.56", + "bbox": [ + 170, + 550, + 1476, + 586 + ] + }, + { + "text": "Pending Liabilities $53,226.87", + "bbox": [ + 171, + 603, + 1476, + 640 + ] + }, + { + "text": "Borrowings Due $214,359.21", + "bbox": [ + 171, + 657, + 1476, + 693 + ] + }, + { + "text": "Equity Shares $326,026.53", + "bbox": [ + 171, + 710, + 1476, + 746 + ] + }, + { + "text": "Income $411,934.58", + "bbox": [ + 172, + 764, + 1477, + 800 + ] + }, + { + "text": "Compensation Costs $101,563.94", + "bbox": [ + 172, + 817, + 1477, + 853 + ] + }, + { + "text": "Operational Expenses $43,254.34", + "bbox": [ + 172, + 871, + 1477, + 907 + ] + }, + { + "text": "Net Adjusted Balance $1,760,547.78", + "bbox": [ + 255, + 926, + 1477, + 961 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1567/1567_dirty_4.json b/new_type_trial_balance/1567/1567_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..c908d8696e7ec0213ce36ac854f0d490c756b4ec --- /dev/null +++ b/new_type_trial_balance/1567/1567_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1567_dirty_4.png", + "labels": [ + { + "text": "Bennett, Robertson and Mercado", + "bbox": [ + 182, + 173, + 870, + 223 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $73,003.00", + "bbox": [ + 180, + 388, + 1485, + 428 + ] + }, + { + "text": "Outstanding Invoices $78,766.92", + "bbox": [ + 180, + 441, + 1485, + 481 + ] + }, + { + "text": "Stock on Hand $53,749.83", + "bbox": [ + 179, + 495, + 1484, + 535 + ] + }, + { + "text": "Fixed Assets $404,662.56", + "bbox": [ + 179, + 548, + 1484, + 588 + ] + }, + { + "text": "Pending Liabilities $53,226.87", + "bbox": [ + 178, + 601, + 1483, + 642 + ] + }, + { + "text": "Borrowings Due $214,359.21", + "bbox": [ + 178, + 655, + 1483, + 695 + ] + }, + { + "text": "Equity Shares $326,026.53", + "bbox": [ + 177, + 708, + 1483, + 748 + ] + }, + { + "text": "Income $411,934.58", + "bbox": [ + 177, + 762, + 1482, + 802 + ] + }, + { + "text": "Compensation Costs $101,563.94", + "bbox": [ + 176, + 815, + 1482, + 855 + ] + }, + { + "text": "Operational Expenses $43,254.34", + "bbox": [ + 176, + 869, + 1481, + 909 + ] + }, + { + "text": "Net Adjusted Balance $1,760,547.78", + "bbox": [ + 258, + 924, + 1481, + 964 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1567/1567_dirty_5.json b/new_type_trial_balance/1567/1567_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..7931e695215cddb5b70d88a92e2bc9cff915dd01 --- /dev/null +++ b/new_type_trial_balance/1567/1567_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1567_dirty_5.png", + "labels": [ + { + "text": "Bennett, Robertson and Mercado", + "bbox": [ + 173, + 177, + 861, + 222 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $73,003.00", + "bbox": [ + 173, + 393, + 1478, + 423 + ] + }, + { + "text": "Outstanding Invoices $78,766.92", + "bbox": [ + 173, + 446, + 1478, + 476 + ] + }, + { + "text": "Stock on Hand $53,749.83", + "bbox": [ + 173, + 500, + 1478, + 530 + ] + }, + { + "text": "Fixed Assets $404,662.56", + "bbox": [ + 173, + 553, + 1478, + 583 + ] + }, + { + "text": "Pending Liabilities $53,226.87", + "bbox": [ + 173, + 606, + 1478, + 637 + ] + }, + { + "text": "Borrowings Due $214,359.21", + "bbox": [ + 173, + 660, + 1478, + 690 + ] + }, + { + "text": "Equity Shares $326,026.53", + "bbox": [ + 173, + 713, + 1478, + 743 + ] + }, + { + "text": "Income $411,934.58", + "bbox": [ + 173, + 767, + 1478, + 797 + ] + }, + { + "text": "Compensation Costs $101,563.94", + "bbox": [ + 173, + 820, + 1478, + 850 + ] + }, + { + "text": "Operational Expenses $43,254.34", + "bbox": [ + 173, + 874, + 1478, + 904 + ] + }, + { + "text": "Net Adjusted Balance $1,760,547.78", + "bbox": [ + 256, + 929, + 1478, + 959 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1567/1567_pdf.json b/new_type_trial_balance/1567/1567_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..f11c04d4d6f4b76e05810a7317a8e1046cf97bb2 --- /dev/null +++ b/new_type_trial_balance/1567/1567_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1567.pdf", + "labels": [ + { + "text": "Bennett, Robertson and Mercado", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 310.34591324999997, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $73,003.00", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.5734077499999, + 152.40670650000004 + ] + }, + { + "text": "Outstanding Invoices $78,766.92", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock on Hand $53,749.83", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.5734077499999, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $404,662.56", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Pending Liabilities $53,226.87", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Borrowings Due $214,359.21", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Equity Shares $326,026.53", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Income $411,934.58", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.58460525, + 287.01998775000004 + ] + }, + { + "text": "Compensation Costs $101,563.94", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.571808, + 306.25045650000004 + ] + }, + { + "text": "Operational Expenses $43,254.34", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Net Adjusted Balance $1,760,547.78", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1569/1569.json b/new_type_trial_balance/1569/1569.json new file mode 100644 index 0000000000000000000000000000000000000000..bcd142a31c9105494acf289a668af93ccb424dfc --- /dev/null +++ b/new_type_trial_balance/1569/1569.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_1569.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Burton, Oneill and Smith", + "bbox_px": [ + 180.04, + 175.24, + 693.22, + 222.18 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $140,956.74", + "bbox_px": [ + 178.79, + 390.14, + 1484.17, + 427.42 + ] + }, + { + "text": "Receivables $63,339.55", + "bbox_px": [ + 178.46, + 443.56, + 1483.84, + 480.84 + ] + }, + { + "text": "Stock of Goods $69,638.76", + "bbox_px": [ + 178.13, + 496.98, + 1483.51, + 534.25 + ] + }, + { + "text": "Fixed Assets $499,951.13", + "bbox_px": [ + 177.8, + 550.39, + 1483.17, + 587.67 + ] + }, + { + "text": "Trade Payables $34,793.13", + "bbox_px": [ + 177.47, + 603.81, + 1482.84, + 641.09 + ] + }, + { + "text": "Borrowings $206,006.92", + "bbox_px": [ + 177.13, + 657.23, + 1482.51, + 694.5 + ] + }, + { + "text": "Equity Shares $245,230.59", + "bbox_px": [ + 176.8, + 710.65, + 1482.18, + 747.92 + ] + }, + { + "text": "Sales $250,124.66", + "bbox_px": [ + 176.47, + 764.06, + 1481.84, + 801.34 + ] + }, + { + "text": "Compensation Costs $131,750.58", + "bbox_px": [ + 176.14, + 817.48, + 1481.51, + 854.76 + ] + }, + { + "text": "Lease and Utility Charges $48,556.89", + "bbox_px": [ + 175.81, + 870.9, + 1481.19, + 908.17 + ] + }, + { + "text": "Final Balanced Total $1,690,348.95", + "bbox_px": [ + 258.79, + 926.91, + 1480.84, + 963.67 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1569/1569.pdf b/new_type_trial_balance/1569/1569.pdf new file mode 100644 index 0000000000000000000000000000000000000000..84b04f04e41e185b2c2fa691fd47b2f99361f0be Binary files /dev/null and b/new_type_trial_balance/1569/1569.pdf differ diff --git a/new_type_trial_balance/1569/1569.xlsx b/new_type_trial_balance/1569/1569.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..158362005557edb911317d5fcc665b8bd2fc2a42 Binary files /dev/null and b/new_type_trial_balance/1569/1569.xlsx differ diff --git a/new_type_trial_balance/1569/1569_dirty_1.json b/new_type_trial_balance/1569/1569_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..2d7608feb72c5dff1a42ae38048b6c5f30b0998f --- /dev/null +++ b/new_type_trial_balance/1569/1569_dirty_1.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1569_dirty_1.png", + "labels": [ + { + "text": "Burton, Oneill and Smith", + "bbox": [ + 188, + 168, + 702, + 220 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $140,956.74", + "bbox": [ + 185, + 383, + 1490, + 433 + ] + }, + { + "text": "Receivables $63,339.55", + "bbox": [ + 184, + 436, + 1490, + 486 + ] + }, + { + "text": "Stock of Goods $69,638.76", + "bbox": [ + 184, + 490, + 1489, + 540 + ] + }, + { + "text": "Fixed Assets $499,951.13", + "bbox": [ + 183, + 543, + 1488, + 593 + ] + }, + { + "text": "Trade Payables $34,793.13", + "bbox": [ + 182, + 596, + 1487, + 647 + ] + }, + { + "text": "Borrowings $206,006.92", + "bbox": [ + 181, + 650, + 1486, + 700 + ] + }, + { + "text": "Equity Shares $245,230.59", + "bbox": [ + 180, + 703, + 1485, + 753 + ] + }, + { + "text": "Sales $250,124.66", + "bbox": [ + 179, + 757, + 1485, + 807 + ] + }, + { + "text": "Compensation Costs $131,750.58", + "bbox": [ + 179, + 810, + 1484, + 860 + ] + }, + { + "text": "Lease and Utility Charges $48,556.89", + "bbox": [ + 178, + 864, + 1483, + 914 + ] + }, + { + "text": "Final Balanced Total $1,690,348.95", + "bbox": [ + 260, + 921, + 1482, + 969 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1569/1569_dirty_2.json b/new_type_trial_balance/1569/1569_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..a27c82e9e2a4650e9a3d7a7b8f48891c1ed1c781 --- /dev/null +++ b/new_type_trial_balance/1569/1569_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1569_dirty_2.png", + "labels": [ + { + "text": "Burton, Oneill and Smith", + "bbox": [ + 166, + 183, + 679, + 231 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $140,956.74", + "bbox": [ + 168, + 396, + 1473, + 435 + ] + }, + { + "text": "Receivables $63,339.55", + "bbox": [ + 168, + 449, + 1473, + 488 + ] + }, + { + "text": "Stock of Goods $69,638.76", + "bbox": [ + 168, + 503, + 1474, + 541 + ] + }, + { + "text": "Fixed Assets $499,951.13", + "bbox": [ + 169, + 556, + 1474, + 594 + ] + }, + { + "text": "Trade Payables $34,793.13", + "bbox": [ + 169, + 609, + 1474, + 648 + ] + }, + { + "text": "Borrowings $206,006.92", + "bbox": [ + 170, + 663, + 1475, + 701 + ] + }, + { + "text": "Equity Shares $245,230.59", + "bbox": [ + 170, + 716, + 1475, + 754 + ] + }, + { + "text": "Sales $250,124.66", + "bbox": [ + 170, + 770, + 1476, + 808 + ] + }, + { + "text": "Compensation Costs $131,750.58", + "bbox": [ + 171, + 823, + 1476, + 861 + ] + }, + { + "text": "Lease and Utility Charges $48,556.89", + "bbox": [ + 171, + 877, + 1476, + 915 + ] + }, + { + "text": "Final Balanced Total $1,690,348.95", + "bbox": [ + 255, + 932, + 1477, + 970 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1569/1569_dirty_3.json b/new_type_trial_balance/1569/1569_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..479cf6a7dbd98b719b94a898c7c495d443a1667f --- /dev/null +++ b/new_type_trial_balance/1569/1569_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1569_dirty_3.png", + "labels": [ + { + "text": "Burton, Oneill and Smith", + "bbox": [ + 154, + 179, + 668, + 234 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $140,956.74", + "bbox": [ + 158, + 381, + 1463, + 436 + ] + }, + { + "text": "Receivables $63,339.55", + "bbox": [ + 159, + 434, + 1465, + 489 + ] + }, + { + "text": "Stock of Goods $69,638.76", + "bbox": [ + 160, + 488, + 1466, + 543 + ] + }, + { + "text": "Fixed Assets $499,951.13", + "bbox": [ + 161, + 541, + 1467, + 596 + ] + }, + { + "text": "Trade Payables $34,793.13", + "bbox": [ + 162, + 594, + 1468, + 650 + ] + }, + { + "text": "Borrowings $206,006.92", + "bbox": [ + 163, + 648, + 1469, + 703 + ] + }, + { + "text": "Equity Shares $245,230.59", + "bbox": [ + 165, + 701, + 1470, + 756 + ] + }, + { + "text": "Sales $250,124.66", + "bbox": [ + 166, + 755, + 1471, + 810 + ] + }, + { + "text": "Compensation Costs $131,750.58", + "bbox": [ + 167, + 808, + 1472, + 863 + ] + }, + { + "text": "Lease and Utility Charges $48,556.89", + "bbox": [ + 168, + 862, + 1473, + 917 + ] + }, + { + "text": "Final Balanced Total $1,690,348.95", + "bbox": [ + 252, + 917, + 1474, + 970 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1569/1569_dirty_4.json b/new_type_trial_balance/1569/1569_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..135a74baf94efc80ccbce1fce539b9792536ac0f --- /dev/null +++ b/new_type_trial_balance/1569/1569_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1569_dirty_4.png", + "labels": [ + { + "text": "Burton, Oneill and Smith", + "bbox": [ + 159, + 187, + 672, + 238 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $140,956.74", + "bbox": [ + 162, + 396, + 1467, + 444 + ] + }, + { + "text": "Receivables $63,339.55", + "bbox": [ + 163, + 449, + 1468, + 497 + ] + }, + { + "text": "Stock of Goods $69,638.76", + "bbox": [ + 163, + 503, + 1469, + 551 + ] + }, + { + "text": "Fixed Assets $499,951.13", + "bbox": [ + 164, + 556, + 1470, + 604 + ] + }, + { + "text": "Trade Payables $34,793.13", + "bbox": [ + 165, + 609, + 1470, + 658 + ] + }, + { + "text": "Borrowings $206,006.92", + "bbox": [ + 166, + 663, + 1471, + 711 + ] + }, + { + "text": "Equity Shares $245,230.59", + "bbox": [ + 167, + 716, + 1472, + 764 + ] + }, + { + "text": "Sales $250,124.66", + "bbox": [ + 168, + 770, + 1473, + 818 + ] + }, + { + "text": "Compensation Costs $131,750.58", + "bbox": [ + 168, + 823, + 1474, + 871 + ] + }, + { + "text": "Lease and Utility Charges $48,556.89", + "bbox": [ + 169, + 877, + 1474, + 925 + ] + }, + { + "text": "Final Balanced Total $1,690,348.95", + "bbox": [ + 253, + 932, + 1475, + 979 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1569/1569_dirty_5.json b/new_type_trial_balance/1569/1569_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..fa3d9b66f594ace20bf3b5953d41893602c38a09 --- /dev/null +++ b/new_type_trial_balance/1569/1569_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1569_dirty_5.png", + "labels": [ + { + "text": "Burton, Oneill and Smith", + "bbox": [ + 166, + 180, + 679, + 228 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $140,956.74", + "bbox": [ + 168, + 388, + 1473, + 428 + ] + }, + { + "text": "Receivables $63,339.55", + "bbox": [ + 168, + 441, + 1473, + 481 + ] + }, + { + "text": "Stock of Goods $69,638.76", + "bbox": [ + 168, + 495, + 1474, + 535 + ] + }, + { + "text": "Fixed Assets $499,951.13", + "bbox": [ + 169, + 548, + 1474, + 588 + ] + }, + { + "text": "Trade Payables $34,793.13", + "bbox": [ + 169, + 601, + 1474, + 642 + ] + }, + { + "text": "Borrowings $206,006.92", + "bbox": [ + 170, + 655, + 1475, + 695 + ] + }, + { + "text": "Equity Shares $245,230.59", + "bbox": [ + 170, + 708, + 1475, + 748 + ] + }, + { + "text": "Sales $250,124.66", + "bbox": [ + 170, + 762, + 1476, + 802 + ] + }, + { + "text": "Compensation Costs $131,750.58", + "bbox": [ + 171, + 815, + 1476, + 855 + ] + }, + { + "text": "Lease and Utility Charges $48,556.89", + "bbox": [ + 171, + 869, + 1476, + 909 + ] + }, + { + "text": "Final Balanced Total $1,690,348.95", + "bbox": [ + 255, + 924, + 1477, + 963 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1569/1569_pdf.json b/new_type_trial_balance/1569/1569_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..f84ff302cbbb83b46ca7a78f161f9ae12384fc07 --- /dev/null +++ b/new_type_trial_balance/1569/1569_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1569.pdf", + "labels": [ + { + "text": "Burton, Oneill and Smith", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 247.34591324999997, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $140,956.74", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.571808, + 152.40670650000004 + ] + }, + { + "text": "Receivables $63,339.55", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock of Goods $69,638.76", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.5734077499999, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $499,951.13", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Trade Payables $34,793.13", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Borrowings $206,006.92", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Equity Shares $245,230.59", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Sales $250,124.66", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Compensation Costs $131,750.58", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.571808, + 306.25045650000004 + ] + }, + { + "text": "Lease and Utility Charges $48,556.89", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Final Balanced Total $1,690,348.95", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/157/157.json b/new_type_trial_balance/157/157.json new file mode 100644 index 0000000000000000000000000000000000000000..cacc6bfdd857939b5fe94bc333ae6ce4ccd61d94 --- /dev/null +++ b/new_type_trial_balance/157/157.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_157.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Williams-Dean", + "bbox_px": [ + 167.38, + 181.73, + 466.35, + 227.53 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $127,632.48", + "bbox_px": [ + 168.85, + 389.73, + 1474.24, + 427.85 + ] + }, + { + "text": "Trade Receivables $85,771.81", + "bbox_px": [ + 169.22, + 443.15, + 1474.61, + 481.26 + ] + }, + { + "text": "Stock of Goods $81,070.10", + "bbox_px": [ + 169.58, + 496.56, + 1474.98, + 534.68 + ] + }, + { + "text": "Fixed Assets $366,922.66", + "bbox_px": [ + 169.95, + 549.98, + 1475.34, + 588.1 + ] + }, + { + "text": "Trade Payables $51,267.15", + "bbox_px": [ + 170.31, + 603.4, + 1475.71, + 641.51 + ] + }, + { + "text": "Debt Instruments $102,955.60", + "bbox_px": [ + 170.68, + 656.81, + 1476.07, + 694.93 + ] + }, + { + "text": "Ordinary Shares $338,032.91", + "bbox_px": [ + 171.05, + 710.23, + 1476.44, + 748.35 + ] + }, + { + "text": "Sales Revenue $260,592.53", + "bbox_px": [ + 171.41, + 763.65, + 1476.8, + 801.76 + ] + }, + { + "text": "Personnel Costs $60,538.49", + "bbox_px": [ + 171.78, + 817.06, + 1477.17, + 855.18 + ] + }, + { + "text": "Operating Expenses $38,391.97", + "bbox_px": [ + 172.15, + 870.48, + 1477.54, + 908.6 + ] + }, + { + "text": "Net Adjusted Balance $1,513,175.70", + "bbox_px": [ + 255.86, + 925.98, + 1477.92, + 963.53 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/157/157.pdf b/new_type_trial_balance/157/157.pdf new file mode 100644 index 0000000000000000000000000000000000000000..12db73b1cfe9049bfb92e8f0cff4385fa24b49ad Binary files /dev/null and b/new_type_trial_balance/157/157.pdf differ diff --git a/new_type_trial_balance/157/157.xlsx b/new_type_trial_balance/157/157.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..bb8128b893c4a08b5997aacb758dcde402ec77e3 Binary files /dev/null and b/new_type_trial_balance/157/157.xlsx differ diff --git a/new_type_trial_balance/157/157_dirty_1.json b/new_type_trial_balance/157/157_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..4d4caee1e5858dc2ca12494d46fd8c14c8419d3a --- /dev/null +++ b/new_type_trial_balance/157/157_dirty_1.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_157_dirty_1.png", + "labels": [ + { + "text": "Williams-Dean", + "bbox": [ + 193, + 165, + 492, + 215 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $127,632.48", + "bbox": [ + 189, + 380, + 1494, + 436 + ] + }, + { + "text": "Trade Receivables $85,771.81", + "bbox": [ + 188, + 433, + 1493, + 489 + ] + }, + { + "text": "Stock of Goods $81,070.10", + "bbox": [ + 187, + 487, + 1492, + 543 + ] + }, + { + "text": "Fixed Assets $366,922.66", + "bbox": [ + 186, + 540, + 1491, + 596 + ] + }, + { + "text": "Trade Payables $51,267.15", + "bbox": [ + 184, + 593, + 1490, + 650 + ] + }, + { + "text": "Debt Instruments $102,955.60", + "bbox": [ + 183, + 647, + 1489, + 703 + ] + }, + { + "text": "Ordinary Shares $338,032.91", + "bbox": [ + 182, + 700, + 1488, + 756 + ] + }, + { + "text": "Sales Revenue $260,592.53", + "bbox": [ + 181, + 754, + 1487, + 810 + ] + }, + { + "text": "Personnel Costs $60,538.49", + "bbox": [ + 180, + 807, + 1485, + 863 + ] + }, + { + "text": "Operating Expenses $38,391.97", + "bbox": [ + 179, + 861, + 1484, + 917 + ] + }, + { + "text": "Net Adjusted Balance $1,513,175.70", + "bbox": [ + 261, + 918, + 1483, + 972 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/157/157_dirty_2.json b/new_type_trial_balance/157/157_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..19bb6687074b6f8cb504384e782ed19886e0ea6e --- /dev/null +++ b/new_type_trial_balance/157/157_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_157_dirty_2.png", + "labels": [ + { + "text": "Williams-Dean", + "bbox": [ + 189, + 170, + 487, + 219 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $127,632.48", + "bbox": [ + 185, + 383, + 1491, + 433 + ] + }, + { + "text": "Trade Receivables $85,771.81", + "bbox": [ + 185, + 436, + 1490, + 486 + ] + }, + { + "text": "Stock of Goods $81,070.10", + "bbox": [ + 184, + 490, + 1489, + 540 + ] + }, + { + "text": "Fixed Assets $366,922.66", + "bbox": [ + 183, + 543, + 1488, + 593 + ] + }, + { + "text": "Trade Payables $51,267.15", + "bbox": [ + 182, + 596, + 1487, + 647 + ] + }, + { + "text": "Debt Instruments $102,955.60", + "bbox": [ + 181, + 650, + 1487, + 700 + ] + }, + { + "text": "Ordinary Shares $338,032.91", + "bbox": [ + 180, + 703, + 1486, + 753 + ] + }, + { + "text": "Sales Revenue $260,592.53", + "bbox": [ + 180, + 757, + 1485, + 807 + ] + }, + { + "text": "Personnel Costs $60,538.49", + "bbox": [ + 179, + 810, + 1484, + 860 + ] + }, + { + "text": "Operating Expenses $38,391.97", + "bbox": [ + 178, + 864, + 1483, + 914 + ] + }, + { + "text": "Net Adjusted Balance $1,513,175.70", + "bbox": [ + 260, + 920, + 1482, + 969 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/157/157_dirty_3.json b/new_type_trial_balance/157/157_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..ca5abb95972fb93177f127419638aec5ff68b2cb --- /dev/null +++ b/new_type_trial_balance/157/157_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_157_dirty_3.png", + "labels": [ + { + "text": "Williams-Dean", + "bbox": [ + 189, + 165, + 487, + 214 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $127,632.48", + "bbox": [ + 185, + 383, + 1491, + 433 + ] + }, + { + "text": "Trade Receivables $85,771.81", + "bbox": [ + 185, + 436, + 1490, + 486 + ] + }, + { + "text": "Stock of Goods $81,070.10", + "bbox": [ + 184, + 490, + 1489, + 540 + ] + }, + { + "text": "Fixed Assets $366,922.66", + "bbox": [ + 183, + 543, + 1488, + 593 + ] + }, + { + "text": "Trade Payables $51,267.15", + "bbox": [ + 182, + 596, + 1487, + 647 + ] + }, + { + "text": "Debt Instruments $102,955.60", + "bbox": [ + 181, + 650, + 1487, + 700 + ] + }, + { + "text": "Ordinary Shares $338,032.91", + "bbox": [ + 180, + 703, + 1486, + 753 + ] + }, + { + "text": "Sales Revenue $260,592.53", + "bbox": [ + 180, + 757, + 1485, + 807 + ] + }, + { + "text": "Personnel Costs $60,538.49", + "bbox": [ + 179, + 810, + 1484, + 860 + ] + }, + { + "text": "Operating Expenses $38,391.97", + "bbox": [ + 178, + 864, + 1483, + 914 + ] + }, + { + "text": "Net Adjusted Balance $1,513,175.70", + "bbox": [ + 260, + 920, + 1482, + 969 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/157/157_dirty_4.json b/new_type_trial_balance/157/157_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..0c12144651bf397112bee4cf69073ea262ab20aa --- /dev/null +++ b/new_type_trial_balance/157/157_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_157_dirty_4.png", + "labels": [ + { + "text": "Williams-Dean", + "bbox": [ + 154, + 180, + 453, + 230 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $127,632.48", + "bbox": [ + 158, + 363, + 1464, + 418 + ] + }, + { + "text": "Trade Receivables $85,771.81", + "bbox": [ + 159, + 416, + 1465, + 471 + ] + }, + { + "text": "Stock of Goods $81,070.10", + "bbox": [ + 160, + 470, + 1466, + 525 + ] + }, + { + "text": "Fixed Assets $366,922.66", + "bbox": [ + 161, + 523, + 1467, + 578 + ] + }, + { + "text": "Trade Payables $51,267.15", + "bbox": [ + 162, + 576, + 1468, + 632 + ] + }, + { + "text": "Debt Instruments $102,955.60", + "bbox": [ + 164, + 630, + 1469, + 685 + ] + }, + { + "text": "Ordinary Shares $338,032.91", + "bbox": [ + 165, + 683, + 1470, + 738 + ] + }, + { + "text": "Sales Revenue $260,592.53", + "bbox": [ + 166, + 737, + 1471, + 792 + ] + }, + { + "text": "Personnel Costs $60,538.49", + "bbox": [ + 167, + 790, + 1472, + 845 + ] + }, + { + "text": "Operating Expenses $38,391.97", + "bbox": [ + 168, + 844, + 1473, + 898 + ] + }, + { + "text": "Net Adjusted Balance $1,513,175.70", + "bbox": [ + 252, + 899, + 1474, + 952 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/157/157_dirty_5.json b/new_type_trial_balance/157/157_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..54dfd68d0343cd90ff6e6c4703fa9a0bb2cb815c --- /dev/null +++ b/new_type_trial_balance/157/157_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_157_dirty_5.png", + "labels": [ + { + "text": "Williams-Dean", + "bbox": [ + 186, + 170, + 485, + 218 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $127,632.48", + "bbox": [ + 184, + 385, + 1489, + 431 + ] + }, + { + "text": "Trade Receivables $85,771.81", + "bbox": [ + 183, + 438, + 1488, + 484 + ] + }, + { + "text": "Stock of Goods $81,070.10", + "bbox": [ + 182, + 492, + 1487, + 538 + ] + }, + { + "text": "Fixed Assets $366,922.66", + "bbox": [ + 181, + 545, + 1487, + 591 + ] + }, + { + "text": "Trade Payables $51,267.15", + "bbox": [ + 181, + 598, + 1486, + 645 + ] + }, + { + "text": "Debt Instruments $102,955.60", + "bbox": [ + 180, + 652, + 1485, + 698 + ] + }, + { + "text": "Ordinary Shares $338,032.91", + "bbox": [ + 179, + 705, + 1485, + 751 + ] + }, + { + "text": "Sales Revenue $260,592.53", + "bbox": [ + 179, + 759, + 1484, + 805 + ] + }, + { + "text": "Personnel Costs $60,538.49", + "bbox": [ + 178, + 812, + 1483, + 858 + ] + }, + { + "text": "Operating Expenses $38,391.97", + "bbox": [ + 177, + 866, + 1482, + 912 + ] + }, + { + "text": "Net Adjusted Balance $1,513,175.70", + "bbox": [ + 259, + 922, + 1482, + 967 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/157/157_pdf.json b/new_type_trial_balance/157/157_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..4a249e53edd998ccf4f9ea112145438e71ad28dc --- /dev/null +++ b/new_type_trial_balance/157/157_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_157.pdf", + "labels": [ + { + "text": "Williams-Dean", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 170.21816324999998, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $127,632.48", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.571808, + 152.40670650000004 + ] + }, + { + "text": "Trade Receivables $85,771.81", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock of Goods $81,070.10", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.5734077499999, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $366,922.66", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Trade Payables $51,267.15", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Debt Instruments $102,955.60", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Ordinary Shares $338,032.91", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Sales Revenue $260,592.53", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Personnel Costs $60,538.49", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.5734077499999, + 306.25045650000004 + ] + }, + { + "text": "Operating Expenses $38,391.97", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Net Adjusted Balance $1,513,175.70", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1597/1597.json b/new_type_trial_balance/1597/1597.json new file mode 100644 index 0000000000000000000000000000000000000000..4430f411948bf26a80e2786d120a084adc04f983 --- /dev/null +++ b/new_type_trial_balance/1597/1597.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_1597.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Floyd Inc", + "bbox_px": [ + 186.37, + 170.96, + 378.98, + 217.18 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $110,331.26", + "bbox_px": [ + 183.79, + 385.85, + 1489.31, + 431.8 + ] + }, + { + "text": "Receivables $66,367.86", + "bbox_px": [ + 183.1, + 439.27, + 1488.59, + 485.22 + ] + }, + { + "text": "Stock $49,187.89", + "bbox_px": [ + 182.42, + 492.68, + 1487.91, + 538.63 + ] + }, + { + "text": "Fixed Assets $274,903.65", + "bbox_px": [ + 181.73, + 546.09, + 1487.22, + 592.04 + ] + }, + { + "text": "Payables $49,377.93", + "bbox_px": [ + 181.04, + 599.51, + 1486.53, + 645.46 + ] + }, + { + "text": "Debt Instruments $133,622.36", + "bbox_px": [ + 180.36, + 652.92, + 1485.84, + 698.87 + ] + }, + { + "text": "Ordinary Shares $237,531.96", + "bbox_px": [ + 179.67, + 706.34, + 1485.15, + 752.28 + ] + }, + { + "text": "Income $306,478.96", + "bbox_px": [ + 178.98, + 759.75, + 1484.47, + 805.7 + ] + }, + { + "text": "Personnel Costs $126,133.08", + "bbox_px": [ + 178.29, + 813.16, + 1483.78, + 859.11 + ] + }, + { + "text": "Facility Costs $38,078.97", + "bbox_px": [ + 177.61, + 866.58, + 1483.1, + 912.52 + ] + }, + { + "text": "Net Adjusted Balance $1,392,013.92", + "bbox_px": [ + 260.22, + 923.14, + 1482.38, + 968.02 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1597/1597.pdf b/new_type_trial_balance/1597/1597.pdf new file mode 100644 index 0000000000000000000000000000000000000000..0dbd13ea66793fa62a19f81fc7c4eae39547dab4 Binary files /dev/null and b/new_type_trial_balance/1597/1597.pdf differ diff --git a/new_type_trial_balance/1597/1597.xlsx b/new_type_trial_balance/1597/1597.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..daa3931cb569dda0c7af0f4537556b56d5577305 Binary files /dev/null and b/new_type_trial_balance/1597/1597.xlsx differ diff --git a/new_type_trial_balance/1597/1597_dirty_1.json b/new_type_trial_balance/1597/1597_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..8cdb4d7f6989622112e2e4d7ca20b68cdf56ca7b --- /dev/null +++ b/new_type_trial_balance/1597/1597_dirty_1.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1597_dirty_1.png", + "labels": [ + { + "text": "Floyd Inc", + "bbox": [ + 153, + 189, + 346, + 237 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $110,331.26", + "bbox": [ + 157, + 386, + 1463, + 442 + ] + }, + { + "text": "Receivables $66,367.86", + "bbox": [ + 159, + 439, + 1464, + 495 + ] + }, + { + "text": "Stock $49,187.89", + "bbox": [ + 160, + 493, + 1465, + 549 + ] + }, + { + "text": "Fixed Assets $274,903.65", + "bbox": [ + 161, + 546, + 1466, + 602 + ] + }, + { + "text": "Payables $49,377.93", + "bbox": [ + 162, + 599, + 1467, + 656 + ] + }, + { + "text": "Debt Instruments $133,622.36", + "bbox": [ + 163, + 653, + 1468, + 709 + ] + }, + { + "text": "Ordinary Shares $237,531.96", + "bbox": [ + 164, + 706, + 1469, + 762 + ] + }, + { + "text": "Income $306,478.96", + "bbox": [ + 165, + 761, + 1471, + 817 + ] + }, + { + "text": "Personnel Costs $126,133.08", + "bbox": [ + 166, + 814, + 1472, + 870 + ] + }, + { + "text": "Facility Costs $38,078.97", + "bbox": [ + 168, + 868, + 1473, + 924 + ] + }, + { + "text": "Net Adjusted Balance $1,392,013.92", + "bbox": [ + 252, + 922, + 1474, + 976 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1597/1597_dirty_2.json b/new_type_trial_balance/1597/1597_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..434b950d8d6d920712cb0dfcb5aaa93cbe908cb5 --- /dev/null +++ b/new_type_trial_balance/1597/1597_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1597_dirty_2.png", + "labels": [ + { + "text": "Floyd Inc", + "bbox": [ + 186, + 167, + 378, + 214 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $110,331.26", + "bbox": [ + 183, + 375, + 1488, + 421 + ] + }, + { + "text": "Receivables $66,367.86", + "bbox": [ + 182, + 428, + 1488, + 474 + ] + }, + { + "text": "Stock $49,187.89", + "bbox": [ + 182, + 482, + 1487, + 528 + ] + }, + { + "text": "Fixed Assets $274,903.65", + "bbox": [ + 181, + 535, + 1486, + 581 + ] + }, + { + "text": "Payables $49,377.93", + "bbox": [ + 180, + 588, + 1486, + 635 + ] + }, + { + "text": "Debt Instruments $133,622.36", + "bbox": [ + 180, + 642, + 1485, + 688 + ] + }, + { + "text": "Ordinary Shares $237,531.96", + "bbox": [ + 179, + 695, + 1484, + 741 + ] + }, + { + "text": "Income $306,478.96", + "bbox": [ + 178, + 749, + 1484, + 795 + ] + }, + { + "text": "Personnel Costs $126,133.08", + "bbox": [ + 178, + 802, + 1483, + 848 + ] + }, + { + "text": "Facility Costs $38,078.97", + "bbox": [ + 177, + 856, + 1482, + 902 + ] + }, + { + "text": "Net Adjusted Balance $1,392,013.92", + "bbox": [ + 259, + 912, + 1481, + 957 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1597/1597_dirty_3.json b/new_type_trial_balance/1597/1597_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..313c8812403f0f4893f305e9102213bd8f80e839 --- /dev/null +++ b/new_type_trial_balance/1597/1597_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1597_dirty_3.png", + "labels": [ + { + "text": "Floyd Inc", + "bbox": [ + 187, + 171, + 380, + 218 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $110,331.26", + "bbox": [ + 184, + 384, + 1490, + 432 + ] + }, + { + "text": "Receivables $66,367.86", + "bbox": [ + 183, + 437, + 1489, + 485 + ] + }, + { + "text": "Stock $49,187.89", + "bbox": [ + 183, + 491, + 1488, + 539 + ] + }, + { + "text": "Fixed Assets $274,903.65", + "bbox": [ + 182, + 544, + 1487, + 592 + ] + }, + { + "text": "Payables $49,377.93", + "bbox": [ + 181, + 597, + 1486, + 646 + ] + }, + { + "text": "Debt Instruments $133,622.36", + "bbox": [ + 180, + 651, + 1486, + 699 + ] + }, + { + "text": "Ordinary Shares $237,531.96", + "bbox": [ + 180, + 704, + 1485, + 752 + ] + }, + { + "text": "Income $306,478.96", + "bbox": [ + 179, + 758, + 1484, + 806 + ] + }, + { + "text": "Personnel Costs $126,133.08", + "bbox": [ + 178, + 811, + 1483, + 859 + ] + }, + { + "text": "Facility Costs $38,078.97", + "bbox": [ + 177, + 865, + 1483, + 913 + ] + }, + { + "text": "Net Adjusted Balance $1,392,013.92", + "bbox": [ + 260, + 921, + 1482, + 968 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1597/1597_dirty_4.json b/new_type_trial_balance/1597/1597_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..759c8f8c0471b74b3fe4f086404267a0b92f1fcd --- /dev/null +++ b/new_type_trial_balance/1597/1597_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1597_dirty_4.png", + "labels": [ + { + "text": "Floyd Inc", + "bbox": [ + 192, + 166, + 385, + 214 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $110,331.26", + "bbox": [ + 188, + 381, + 1494, + 436 + ] + }, + { + "text": "Receivables $66,367.86", + "bbox": [ + 187, + 434, + 1493, + 489 + ] + }, + { + "text": "Stock $49,187.89", + "bbox": [ + 186, + 488, + 1492, + 543 + ] + }, + { + "text": "Fixed Assets $274,903.65", + "bbox": [ + 185, + 541, + 1491, + 596 + ] + }, + { + "text": "Payables $49,377.93", + "bbox": [ + 184, + 594, + 1490, + 650 + ] + }, + { + "text": "Debt Instruments $133,622.36", + "bbox": [ + 183, + 648, + 1488, + 703 + ] + }, + { + "text": "Ordinary Shares $237,531.96", + "bbox": [ + 182, + 701, + 1487, + 756 + ] + }, + { + "text": "Income $306,478.96", + "bbox": [ + 181, + 755, + 1486, + 810 + ] + }, + { + "text": "Personnel Costs $126,133.08", + "bbox": [ + 180, + 808, + 1485, + 862 + ] + }, + { + "text": "Facility Costs $38,078.97", + "bbox": [ + 179, + 862, + 1484, + 916 + ] + }, + { + "text": "Net Adjusted Balance $1,392,013.92", + "bbox": [ + 261, + 918, + 1483, + 971 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1597/1597_dirty_5.json b/new_type_trial_balance/1597/1597_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..0f4fb50bafc3f9622f1f9ddd92bc3e19f80ab816 --- /dev/null +++ b/new_type_trial_balance/1597/1597_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1597_dirty_5.png", + "labels": [ + { + "text": "Floyd Inc", + "bbox": [ + 188, + 164, + 381, + 211 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $110,331.26", + "bbox": [ + 185, + 371, + 1491, + 421 + ] + }, + { + "text": "Receivables $66,367.86", + "bbox": [ + 184, + 424, + 1490, + 474 + ] + }, + { + "text": "Stock $49,187.89", + "bbox": [ + 184, + 478, + 1489, + 528 + ] + }, + { + "text": "Fixed Assets $274,903.65", + "bbox": [ + 183, + 531, + 1488, + 581 + ] + }, + { + "text": "Payables $49,377.93", + "bbox": [ + 182, + 584, + 1487, + 635 + ] + }, + { + "text": "Debt Instruments $133,622.36", + "bbox": [ + 181, + 638, + 1486, + 688 + ] + }, + { + "text": "Ordinary Shares $237,531.96", + "bbox": [ + 180, + 691, + 1486, + 741 + ] + }, + { + "text": "Income $306,478.96", + "bbox": [ + 179, + 745, + 1485, + 795 + ] + }, + { + "text": "Personnel Costs $126,133.08", + "bbox": [ + 179, + 798, + 1484, + 848 + ] + }, + { + "text": "Facility Costs $38,078.97", + "bbox": [ + 178, + 852, + 1483, + 902 + ] + }, + { + "text": "Net Adjusted Balance $1,392,013.92", + "bbox": [ + 260, + 909, + 1482, + 957 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1597/1597_pdf.json b/new_type_trial_balance/1597/1597_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..4c43ad5ee4d40bbf0ea2ac542137f3f51430fea3 --- /dev/null +++ b/new_type_trial_balance/1597/1597_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1597.pdf", + "labels": [ + { + "text": "Floyd Inc", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 131.83541325000002, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $110,331.26", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.58460525, + 152.40670650000004 + ] + }, + { + "text": "Receivables $66,367.86", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock $49,187.89", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.5734077499999, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $274,903.65", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Payables $49,377.93", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Debt Instruments $133,622.36", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Ordinary Shares $237,531.96", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Income $306,478.96", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Personnel Costs $126,133.08", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.571808, + 306.25045650000004 + ] + }, + { + "text": "Facility Costs $38,078.97", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Net Adjusted Balance $1,392,013.92", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1606/1606.json b/new_type_trial_balance/1606/1606.json new file mode 100644 index 0000000000000000000000000000000000000000..506bb0bc8e655e1223b63567077119f485fd2197 --- /dev/null +++ b/new_type_trial_balance/1606/1606.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_1606.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Bond PLC", + "bbox_px": [ + 158.74, + 186.3, + 370.85, + 233.36 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $58,265.39", + "bbox_px": [ + 162.11, + 384.08, + 1467.63, + 433.66 + ] + }, + { + "text": "Outstanding Receivables $40,514.68", + "bbox_px": [ + 162.94, + 437.49, + 1468.46, + 487.07 + ] + }, + { + "text": "Stock on Hand $40,418.11", + "bbox_px": [ + 163.78, + 490.9, + 1469.3, + 540.48 + ] + }, + { + "text": "Fixed Assets and Equipment $283,591.99", + "bbox_px": [ + 164.61, + 544.31, + 1470.13, + 593.89 + ] + }, + { + "text": "Vendor Liabilities $52,752.76", + "bbox_px": [ + 165.45, + 597.72, + 1470.97, + 647.3 + ] + }, + { + "text": "Short-term Borrowings $223,189.67", + "bbox_px": [ + 166.28, + 651.13, + 1471.8, + 700.71 + ] + }, + { + "text": "Ordinary Shares $272,585.87", + "bbox_px": [ + 167.12, + 704.54, + 1472.64, + 754.12 + ] + }, + { + "text": "Sales Revenue $318,429.88", + "bbox_px": [ + 167.96, + 757.96, + 1473.47, + 807.54 + ] + }, + { + "text": "Compensation Costs $97,366.42", + "bbox_px": [ + 168.79, + 811.37, + 1474.31, + 860.95 + ] + }, + { + "text": "Lease and Operating Expenses $34,618.49", + "bbox_px": [ + 169.63, + 864.78, + 1475.15, + 914.36 + ] + }, + { + "text": "Final Adjusted Total $1,421,733.26", + "bbox_px": [ + 253.82, + 920.27, + 1476.01, + 968.55 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1606/1606.pdf b/new_type_trial_balance/1606/1606.pdf new file mode 100644 index 0000000000000000000000000000000000000000..bbb1f7f4e63e22b8a14d28f36960029b9cd4f4a3 Binary files /dev/null and b/new_type_trial_balance/1606/1606.pdf differ diff --git a/new_type_trial_balance/1606/1606.xlsx b/new_type_trial_balance/1606/1606.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..45fdc856f9a6b797f62827336a561ad870a96adc Binary files /dev/null and b/new_type_trial_balance/1606/1606.xlsx differ diff --git a/new_type_trial_balance/1606/1606_dirty_1.json b/new_type_trial_balance/1606/1606_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..81566f8ceaf5551a2b6de285b7b460ffd8ff6173 --- /dev/null +++ b/new_type_trial_balance/1606/1606_dirty_1.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1606_dirty_1.png", + "labels": [ + { + "text": "Bond PLC", + "bbox": [ + 187, + 166, + 399, + 213 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $58,265.39", + "bbox": [ + 185, + 384, + 1490, + 432 + ] + }, + { + "text": "Outstanding Receivables $40,514.68", + "bbox": [ + 184, + 437, + 1489, + 485 + ] + }, + { + "text": "Stock on Hand $40,418.11", + "bbox": [ + 183, + 491, + 1488, + 539 + ] + }, + { + "text": "Fixed Assets and Equipment $283,591.99", + "bbox": [ + 182, + 544, + 1487, + 592 + ] + }, + { + "text": "Vendor Liabilities $52,752.76", + "bbox": [ + 181, + 597, + 1487, + 646 + ] + }, + { + "text": "Short-term Borrowings $223,189.67", + "bbox": [ + 181, + 651, + 1486, + 699 + ] + }, + { + "text": "Ordinary Shares $272,585.87", + "bbox": [ + 180, + 704, + 1485, + 752 + ] + }, + { + "text": "Sales Revenue $318,429.88", + "bbox": [ + 179, + 758, + 1484, + 806 + ] + }, + { + "text": "Compensation Costs $97,366.42", + "bbox": [ + 178, + 811, + 1484, + 859 + ] + }, + { + "text": "Lease and Operating Expenses $34,618.49", + "bbox": [ + 177, + 865, + 1483, + 913 + ] + }, + { + "text": "Final Adjusted Total $1,421,733.26", + "bbox": [ + 260, + 921, + 1482, + 968 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1606/1606_dirty_2.json b/new_type_trial_balance/1606/1606_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..2e012418eaebd8df5c19206c954e8e1590dfbed3 --- /dev/null +++ b/new_type_trial_balance/1606/1606_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1606_dirty_2.png", + "labels": [ + { + "text": "Bond PLC", + "bbox": [ + 187, + 171, + 398, + 217 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $58,265.39", + "bbox": [ + 184, + 390, + 1489, + 438 + ] + }, + { + "text": "Outstanding Receivables $40,514.68", + "bbox": [ + 183, + 443, + 1488, + 491 + ] + }, + { + "text": "Stock on Hand $40,418.11", + "bbox": [ + 182, + 497, + 1488, + 545 + ] + }, + { + "text": "Fixed Assets and Equipment $283,591.99", + "bbox": [ + 182, + 550, + 1487, + 598 + ] + }, + { + "text": "Vendor Liabilities $52,752.76", + "bbox": [ + 181, + 603, + 1486, + 652 + ] + }, + { + "text": "Short-term Borrowings $223,189.67", + "bbox": [ + 180, + 657, + 1486, + 705 + ] + }, + { + "text": "Ordinary Shares $272,585.87", + "bbox": [ + 179, + 710, + 1485, + 758 + ] + }, + { + "text": "Sales Revenue $318,429.88", + "bbox": [ + 179, + 764, + 1484, + 812 + ] + }, + { + "text": "Compensation Costs $97,366.42", + "bbox": [ + 178, + 817, + 1483, + 865 + ] + }, + { + "text": "Lease and Operating Expenses $34,618.49", + "bbox": [ + 177, + 871, + 1483, + 919 + ] + }, + { + "text": "Final Adjusted Total $1,421,733.26", + "bbox": [ + 259, + 928, + 1482, + 974 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1606/1606_dirty_3.json b/new_type_trial_balance/1606/1606_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..5a3c5ee193d6fac6c112e382d0f5210537d97bb7 --- /dev/null +++ b/new_type_trial_balance/1606/1606_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1606_dirty_3.png", + "labels": [ + { + "text": "Bond PLC", + "bbox": [ + 182, + 173, + 394, + 219 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $58,265.39", + "bbox": [ + 180, + 388, + 1486, + 428 + ] + }, + { + "text": "Outstanding Receivables $40,514.68", + "bbox": [ + 180, + 441, + 1485, + 481 + ] + }, + { + "text": "Stock on Hand $40,418.11", + "bbox": [ + 179, + 495, + 1485, + 535 + ] + }, + { + "text": "Fixed Assets and Equipment $283,591.99", + "bbox": [ + 179, + 548, + 1484, + 588 + ] + }, + { + "text": "Vendor Liabilities $52,752.76", + "bbox": [ + 178, + 601, + 1484, + 642 + ] + }, + { + "text": "Short-term Borrowings $223,189.67", + "bbox": [ + 178, + 655, + 1483, + 695 + ] + }, + { + "text": "Ordinary Shares $272,585.87", + "bbox": [ + 177, + 708, + 1483, + 748 + ] + }, + { + "text": "Sales Revenue $318,429.88", + "bbox": [ + 177, + 762, + 1482, + 802 + ] + }, + { + "text": "Compensation Costs $97,366.42", + "bbox": [ + 176, + 815, + 1482, + 855 + ] + }, + { + "text": "Lease and Operating Expenses $34,618.49", + "bbox": [ + 176, + 869, + 1481, + 909 + ] + }, + { + "text": "Final Adjusted Total $1,421,733.26", + "bbox": [ + 258, + 924, + 1481, + 964 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1606/1606_dirty_4.json b/new_type_trial_balance/1606/1606_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..3a601107308fbdbd4952456483eae3a1827e3f54 --- /dev/null +++ b/new_type_trial_balance/1606/1606_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1606_dirty_4.png", + "labels": [ + { + "text": "Bond PLC", + "bbox": [ + 178, + 175, + 389, + 220 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $58,265.39", + "bbox": [ + 177, + 390, + 1482, + 426 + ] + }, + { + "text": "Outstanding Receivables $40,514.68", + "bbox": [ + 177, + 443, + 1482, + 479 + ] + }, + { + "text": "Stock on Hand $40,418.11", + "bbox": [ + 177, + 497, + 1482, + 533 + ] + }, + { + "text": "Fixed Assets and Equipment $283,591.99", + "bbox": [ + 176, + 550, + 1482, + 586 + ] + }, + { + "text": "Vendor Liabilities $52,752.76", + "bbox": [ + 176, + 603, + 1481, + 640 + ] + }, + { + "text": "Short-term Borrowings $223,189.67", + "bbox": [ + 176, + 657, + 1481, + 693 + ] + }, + { + "text": "Ordinary Shares $272,585.87", + "bbox": [ + 176, + 710, + 1481, + 746 + ] + }, + { + "text": "Sales Revenue $318,429.88", + "bbox": [ + 175, + 764, + 1480, + 800 + ] + }, + { + "text": "Compensation Costs $97,366.42", + "bbox": [ + 175, + 817, + 1480, + 853 + ] + }, + { + "text": "Lease and Operating Expenses $34,618.49", + "bbox": [ + 175, + 871, + 1480, + 907 + ] + }, + { + "text": "Final Adjusted Total $1,421,733.26", + "bbox": [ + 258, + 927, + 1480, + 962 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1606/1606_dirty_5.json b/new_type_trial_balance/1606/1606_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..c5e34a74f7149b792a3c474329b60ec9b7b8aacd --- /dev/null +++ b/new_type_trial_balance/1606/1606_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1606_dirty_5.png", + "labels": [ + { + "text": "Bond PLC", + "bbox": [ + 192, + 161, + 403, + 209 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $58,265.39", + "bbox": [ + 188, + 381, + 1493, + 435 + ] + }, + { + "text": "Outstanding Receivables $40,514.68", + "bbox": [ + 187, + 434, + 1492, + 488 + ] + }, + { + "text": "Stock on Hand $40,418.11", + "bbox": [ + 186, + 488, + 1491, + 542 + ] + }, + { + "text": "Fixed Assets and Equipment $283,591.99", + "bbox": [ + 185, + 541, + 1490, + 595 + ] + }, + { + "text": "Vendor Liabilities $52,752.76", + "bbox": [ + 184, + 594, + 1489, + 649 + ] + }, + { + "text": "Short-term Borrowings $223,189.67", + "bbox": [ + 183, + 648, + 1488, + 702 + ] + }, + { + "text": "Ordinary Shares $272,585.87", + "bbox": [ + 182, + 701, + 1487, + 755 + ] + }, + { + "text": "Sales Revenue $318,429.88", + "bbox": [ + 181, + 755, + 1486, + 809 + ] + }, + { + "text": "Compensation Costs $97,366.42", + "bbox": [ + 180, + 808, + 1485, + 862 + ] + }, + { + "text": "Lease and Operating Expenses $34,618.49", + "bbox": [ + 179, + 862, + 1484, + 916 + ] + }, + { + "text": "Final Adjusted Total $1,421,733.26", + "bbox": [ + 261, + 919, + 1483, + 971 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1606/1606_pdf.json b/new_type_trial_balance/1606/1606_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..34b15f9c769b62ba04d17693a0b537911f6092b6 --- /dev/null +++ b/new_type_trial_balance/1606/1606_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1606.pdf", + "labels": [ + { + "text": "Bond PLC", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 138.81266325, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $58,265.39", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.5734077499999, + 152.40670650000004 + ] + }, + { + "text": "Outstanding Receivables $40,514.68", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock on Hand $40,418.11", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.57570425, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets and Equipment $283,591.99", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Vendor Liabilities $52,752.76", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Short-term Borrowings $223,189.67", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Ordinary Shares $272,585.87", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Sales Revenue $318,429.88", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Compensation Costs $97,366.42", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.5734077499999, + 306.25045650000004 + ] + }, + { + "text": "Lease and Operating Expenses $34,618.49", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Final Adjusted Total $1,421,733.26", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1628/1628.json b/new_type_trial_balance/1628/1628.json new file mode 100644 index 0000000000000000000000000000000000000000..9ae9726d97f9a254c584aeac8242d5d7c4b71eb8 --- /dev/null +++ b/new_type_trial_balance/1628/1628.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_1628.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Miles, Estes and Gilbert", + "bbox_px": [ + 193.95, + 165.92, + 688.34, + 219.92 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $101,722.28", + "bbox_px": [ + 189.78, + 380.79, + 1495.33, + 437.07 + ] + }, + { + "text": "Trade Receivables $47,544.01", + "bbox_px": [ + 188.67, + 434.19, + 1494.22, + 490.48 + ] + }, + { + "text": "Merchandise Inventory $86,087.80", + "bbox_px": [ + 187.56, + 487.6, + 1493.11, + 543.88 + ] + }, + { + "text": "Fixed Assets $362,915.98", + "bbox_px": [ + 186.45, + 541.0, + 1492.0, + 597.29 + ] + }, + { + "text": "Trade Payables $50,423.46", + "bbox_px": [ + 185.34, + 594.41, + 1490.89, + 650.7 + ] + }, + { + "text": "Debt Instruments $167,451.84", + "bbox_px": [ + 184.23, + 647.82, + 1489.78, + 704.1 + ] + }, + { + "text": "Ordinary Shares $154,599.41", + "bbox_px": [ + 183.12, + 701.22, + 1488.67, + 757.51 + ] + }, + { + "text": "Sales Revenue $426,634.13", + "bbox_px": [ + 182.01, + 754.63, + 1487.56, + 810.92 + ] + }, + { + "text": "Personnel Costs $67,499.75", + "bbox_px": [ + 180.9, + 808.04, + 1486.45, + 864.32 + ] + }, + { + "text": "Lease and Services Expenses $38,049.30", + "bbox_px": [ + 179.79, + 861.44, + 1485.34, + 917.73 + ] + }, + { + "text": "Final Adjusted Total $1,502,927.96", + "bbox_px": [ + 261.95, + 918.66, + 1484.18, + 973.22 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1628/1628.pdf b/new_type_trial_balance/1628/1628.pdf new file mode 100644 index 0000000000000000000000000000000000000000..b7816e1020f887670c854617e424ecdb104574fd Binary files /dev/null and b/new_type_trial_balance/1628/1628.pdf differ diff --git a/new_type_trial_balance/1628/1628.xlsx b/new_type_trial_balance/1628/1628.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..2a9d2723ef0fbe59b8e0fa0ba8577a723d79d9b6 Binary files /dev/null and b/new_type_trial_balance/1628/1628.xlsx differ diff --git a/new_type_trial_balance/1628/1628_dirty_1.json b/new_type_trial_balance/1628/1628_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..2909782a573d785eb8e4da3b0774f0fc071fe87c --- /dev/null +++ b/new_type_trial_balance/1628/1628_dirty_1.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1628_dirty_1.png", + "labels": [ + { + "text": "Miles, Estes and Gilbert", + "bbox": [ + 178, + 173, + 671, + 220 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $101,722.28", + "bbox": [ + 177, + 390, + 1482, + 426 + ] + }, + { + "text": "Trade Receivables $47,544.01", + "bbox": [ + 177, + 443, + 1482, + 479 + ] + }, + { + "text": "Merchandise Inventory $86,087.80", + "bbox": [ + 177, + 497, + 1482, + 533 + ] + }, + { + "text": "Fixed Assets $362,915.98", + "bbox": [ + 176, + 550, + 1482, + 586 + ] + }, + { + "text": "Trade Payables $50,423.46", + "bbox": [ + 176, + 603, + 1481, + 640 + ] + }, + { + "text": "Debt Instruments $167,451.84", + "bbox": [ + 176, + 657, + 1481, + 693 + ] + }, + { + "text": "Ordinary Shares $154,599.41", + "bbox": [ + 176, + 710, + 1481, + 746 + ] + }, + { + "text": "Sales Revenue $426,634.13", + "bbox": [ + 175, + 764, + 1481, + 800 + ] + }, + { + "text": "Personnel Costs $67,499.75", + "bbox": [ + 175, + 817, + 1480, + 853 + ] + }, + { + "text": "Lease and Services Expenses $38,049.30", + "bbox": [ + 175, + 871, + 1480, + 907 + ] + }, + { + "text": "Final Adjusted Total $1,502,927.96", + "bbox": [ + 258, + 927, + 1480, + 962 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1628/1628_dirty_2.json b/new_type_trial_balance/1628/1628_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..1aae8475cdc28d926e11f5e9d2eca511336f60b9 --- /dev/null +++ b/new_type_trial_balance/1628/1628_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1628_dirty_2.png", + "labels": [ + { + "text": "Miles, Estes and Gilbert", + "bbox": [ + 192, + 166, + 685, + 220 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $101,722.28", + "bbox": [ + 188, + 381, + 1493, + 435 + ] + }, + { + "text": "Trade Receivables $47,544.01", + "bbox": [ + 187, + 434, + 1492, + 488 + ] + }, + { + "text": "Merchandise Inventory $86,087.80", + "bbox": [ + 186, + 488, + 1491, + 542 + ] + }, + { + "text": "Fixed Assets $362,915.98", + "bbox": [ + 185, + 541, + 1490, + 595 + ] + }, + { + "text": "Trade Payables $50,423.46", + "bbox": [ + 184, + 594, + 1489, + 649 + ] + }, + { + "text": "Debt Instruments $167,451.84", + "bbox": [ + 183, + 648, + 1488, + 702 + ] + }, + { + "text": "Ordinary Shares $154,599.41", + "bbox": [ + 182, + 701, + 1487, + 755 + ] + }, + { + "text": "Sales Revenue $426,634.13", + "bbox": [ + 181, + 755, + 1486, + 809 + ] + }, + { + "text": "Personnel Costs $67,499.75", + "bbox": [ + 180, + 808, + 1485, + 862 + ] + }, + { + "text": "Lease and Services Expenses $38,049.30", + "bbox": [ + 179, + 862, + 1484, + 916 + ] + }, + { + "text": "Final Adjusted Total $1,502,927.96", + "bbox": [ + 261, + 919, + 1483, + 971 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1628/1628_dirty_3.json b/new_type_trial_balance/1628/1628_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..c67e29d49c977e7ecdf2f8734de5ae9bba1164aa --- /dev/null +++ b/new_type_trial_balance/1628/1628_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1628_dirty_3.png", + "labels": [ + { + "text": "Miles, Estes and Gilbert", + "bbox": [ + 177, + 177, + 671, + 223 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $101,722.28", + "bbox": [ + 177, + 391, + 1482, + 425 + ] + }, + { + "text": "Trade Receivables $47,544.01", + "bbox": [ + 176, + 444, + 1481, + 478 + ] + }, + { + "text": "Merchandise Inventory $86,087.80", + "bbox": [ + 176, + 498, + 1481, + 532 + ] + }, + { + "text": "Fixed Assets $362,915.98", + "bbox": [ + 176, + 551, + 1481, + 585 + ] + }, + { + "text": "Trade Payables $50,423.46", + "bbox": [ + 176, + 604, + 1481, + 639 + ] + }, + { + "text": "Debt Instruments $167,451.84", + "bbox": [ + 175, + 658, + 1481, + 692 + ] + }, + { + "text": "Ordinary Shares $154,599.41", + "bbox": [ + 175, + 711, + 1480, + 745 + ] + }, + { + "text": "Sales Revenue $426,634.13", + "bbox": [ + 175, + 765, + 1480, + 799 + ] + }, + { + "text": "Personnel Costs $67,499.75", + "bbox": [ + 175, + 818, + 1480, + 852 + ] + }, + { + "text": "Lease and Services Expenses $38,049.30", + "bbox": [ + 175, + 872, + 1480, + 906 + ] + }, + { + "text": "Final Adjusted Total $1,502,927.96", + "bbox": [ + 257, + 927, + 1479, + 961 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1628/1628_dirty_4.json b/new_type_trial_balance/1628/1628_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..432fc0edec7b9f61e6e44a032fc4fbbf24d96797 --- /dev/null +++ b/new_type_trial_balance/1628/1628_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1628_dirty_4.png", + "labels": [ + { + "text": "Miles, Estes and Gilbert", + "bbox": [ + 162, + 180, + 656, + 230 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $101,722.28", + "bbox": [ + 165, + 386, + 1470, + 430 + ] + }, + { + "text": "Trade Receivables $47,544.01", + "bbox": [ + 165, + 439, + 1471, + 483 + ] + }, + { + "text": "Merchandise Inventory $86,087.80", + "bbox": [ + 166, + 493, + 1471, + 537 + ] + }, + { + "text": "Fixed Assets $362,915.98", + "bbox": [ + 167, + 546, + 1472, + 590 + ] + }, + { + "text": "Trade Payables $50,423.46", + "bbox": [ + 167, + 599, + 1472, + 644 + ] + }, + { + "text": "Debt Instruments $167,451.84", + "bbox": [ + 168, + 653, + 1473, + 697 + ] + }, + { + "text": "Ordinary Shares $154,599.41", + "bbox": [ + 168, + 706, + 1474, + 750 + ] + }, + { + "text": "Sales Revenue $426,634.13", + "bbox": [ + 169, + 760, + 1474, + 804 + ] + }, + { + "text": "Personnel Costs $67,499.75", + "bbox": [ + 170, + 813, + 1475, + 857 + ] + }, + { + "text": "Lease and Services Expenses $38,049.30", + "bbox": [ + 170, + 867, + 1475, + 911 + ] + }, + { + "text": "Final Adjusted Total $1,502,927.96", + "bbox": [ + 254, + 922, + 1476, + 965 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1628/1628_dirty_5.json b/new_type_trial_balance/1628/1628_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..30d43bbfaac3e676c161a0ab18a528f542ea113c --- /dev/null +++ b/new_type_trial_balance/1628/1628_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1628_dirty_5.png", + "labels": [ + { + "text": "Miles, Estes and Gilbert", + "bbox": [ + 162, + 181, + 655, + 231 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $101,722.28", + "bbox": [ + 164, + 386, + 1470, + 430 + ] + }, + { + "text": "Trade Receivables $47,544.01", + "bbox": [ + 165, + 439, + 1470, + 483 + ] + }, + { + "text": "Merchandise Inventory $86,087.80", + "bbox": [ + 166, + 493, + 1471, + 537 + ] + }, + { + "text": "Fixed Assets $362,915.98", + "bbox": [ + 166, + 546, + 1471, + 590 + ] + }, + { + "text": "Trade Payables $50,423.46", + "bbox": [ + 167, + 599, + 1472, + 644 + ] + }, + { + "text": "Debt Instruments $167,451.84", + "bbox": [ + 167, + 653, + 1473, + 697 + ] + }, + { + "text": "Ordinary Shares $154,599.41", + "bbox": [ + 168, + 706, + 1473, + 750 + ] + }, + { + "text": "Sales Revenue $426,634.13", + "bbox": [ + 169, + 760, + 1474, + 804 + ] + }, + { + "text": "Personnel Costs $67,499.75", + "bbox": [ + 169, + 813, + 1475, + 857 + ] + }, + { + "text": "Lease and Services Expenses $38,049.30", + "bbox": [ + 170, + 867, + 1475, + 911 + ] + }, + { + "text": "Final Adjusted Total $1,502,927.96", + "bbox": [ + 254, + 922, + 1476, + 965 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1628/1628_pdf.json b/new_type_trial_balance/1628/1628_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..ef5a3691a8e5c0dbe83ff7c43126abcded4db5f0 --- /dev/null +++ b/new_type_trial_balance/1628/1628_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1628.pdf", + "labels": [ + { + "text": "Miles, Estes and Gilbert", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 240.38441325000002, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $101,722.28", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.571808, + 152.40670650000004 + ] + }, + { + "text": "Trade Receivables $47,544.01", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Merchandise Inventory $86,087.80", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.5734077499999, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $362,915.98", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Trade Payables $50,423.46", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Debt Instruments $167,451.84", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Ordinary Shares $154,599.41", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Sales Revenue $426,634.13", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Personnel Costs $67,499.75", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.5734077499999, + 306.25045650000004 + ] + }, + { + "text": "Lease and Services Expenses $38,049.30", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Final Adjusted Total $1,502,927.96", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1629/1629.json b/new_type_trial_balance/1629/1629.json new file mode 100644 index 0000000000000000000000000000000000000000..9b84fb149ff85bd86322886845494c657cf7ad6f --- /dev/null +++ b/new_type_trial_balance/1629/1629.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_1629.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Davenport-Campbell", + "bbox_px": [ + 183.95, + 172.59, + 612.21, + 220.75 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $93,464.47", + "bbox_px": [ + 181.88, + 387.48, + 1487.34, + 430.13 + ] + }, + { + "text": "Customer Receivables $57,550.69", + "bbox_px": [ + 181.33, + 440.9, + 1486.79, + 483.55 + ] + }, + { + "text": "Stock on Hand $76,423.72", + "bbox_px": [ + 180.78, + 494.31, + 1486.24, + 536.96 + ] + }, + { + "text": "Fixed Assets and Equipment $309,837.43", + "bbox_px": [ + 180.23, + 547.73, + 1485.68, + 590.38 + ] + }, + { + "text": "Vendor Payables $31,548.71", + "bbox_px": [ + 179.68, + 601.14, + 1485.13, + 643.79 + ] + }, + { + "text": "Promissory Notes Payable $187,189.66", + "bbox_px": [ + 179.13, + 654.56, + 1484.58, + 697.21 + ] + }, + { + "text": "Ordinary Shares $330,397.23", + "bbox_px": [ + 178.57, + 707.97, + 1484.02, + 750.62 + ] + }, + { + "text": "Sales Revenue $590,278.87", + "bbox_px": [ + 178.02, + 761.39, + 1483.47, + 804.04 + ] + }, + { + "text": "Employee Compensation Expense $158,318.62", + "bbox_px": [ + 177.47, + 814.8, + 1482.92, + 857.45 + ] + }, + { + "text": "Lease and Services Expense $34,783.54", + "bbox_px": [ + 176.92, + 868.22, + 1482.37, + 910.87 + ] + }, + { + "text": "Adjusted Final Balance $1,869,792.94", + "bbox_px": [ + 259.67, + 924.58, + 1481.8, + 966.36 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1629/1629.pdf b/new_type_trial_balance/1629/1629.pdf new file mode 100644 index 0000000000000000000000000000000000000000..15af161b52b33051e60441071cc7764f23c1ecdf Binary files /dev/null and b/new_type_trial_balance/1629/1629.pdf differ diff --git a/new_type_trial_balance/1629/1629.xlsx b/new_type_trial_balance/1629/1629.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..8ae4bdd9760e0754813138f3645c92c4b787eb84 Binary files /dev/null and b/new_type_trial_balance/1629/1629.xlsx differ diff --git a/new_type_trial_balance/1629/1629_dirty_1.json b/new_type_trial_balance/1629/1629_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..6466a94ad85b9a0455f46e2cefde13aed9c48732 --- /dev/null +++ b/new_type_trial_balance/1629/1629_dirty_1.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1629_dirty_1.png", + "labels": [ + { + "text": "Davenport-Campbell", + "bbox": [ + 160, + 175, + 589, + 225 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $93,464.47", + "bbox": [ + 163, + 370, + 1468, + 416 + ] + }, + { + "text": "Customer Receivables $57,550.69", + "bbox": [ + 164, + 423, + 1469, + 469 + ] + }, + { + "text": "Stock on Hand $76,423.72", + "bbox": [ + 164, + 477, + 1470, + 523 + ] + }, + { + "text": "Fixed Assets and Equipment $309,837.43", + "bbox": [ + 165, + 530, + 1470, + 576 + ] + }, + { + "text": "Vendor Payables $31,548.71", + "bbox": [ + 166, + 583, + 1471, + 630 + ] + }, + { + "text": "Promissory Notes Payable $187,189.66", + "bbox": [ + 167, + 637, + 1472, + 683 + ] + }, + { + "text": "Ordinary Shares $330,397.23", + "bbox": [ + 167, + 690, + 1473, + 736 + ] + }, + { + "text": "Sales Revenue $590,278.87", + "bbox": [ + 168, + 744, + 1473, + 790 + ] + }, + { + "text": "Employee Compensation Expense $158,318.62", + "bbox": [ + 169, + 797, + 1474, + 843 + ] + }, + { + "text": "Lease and Services Expense $34,783.54", + "bbox": [ + 170, + 851, + 1475, + 897 + ] + }, + { + "text": "Adjusted Final Balance $1,869,792.94", + "bbox": [ + 253, + 906, + 1476, + 951 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1629/1629_dirty_2.json b/new_type_trial_balance/1629/1629_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..e5853e7e66d2e7ecdc808cdeac9a576f14645a97 --- /dev/null +++ b/new_type_trial_balance/1629/1629_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1629_dirty_2.png", + "labels": [ + { + "text": "Davenport-Campbell", + "bbox": [ + 164, + 182, + 592, + 230 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $93,464.47", + "bbox": [ + 166, + 387, + 1471, + 429 + ] + }, + { + "text": "Customer Receivables $57,550.69", + "bbox": [ + 166, + 440, + 1472, + 482 + ] + }, + { + "text": "Stock on Hand $76,423.72", + "bbox": [ + 167, + 494, + 1472, + 536 + ] + }, + { + "text": "Fixed Assets and Equipment $309,837.43", + "bbox": [ + 167, + 547, + 1473, + 589 + ] + }, + { + "text": "Vendor Payables $31,548.71", + "bbox": [ + 168, + 600, + 1473, + 643 + ] + }, + { + "text": "Promissory Notes Payable $187,189.66", + "bbox": [ + 169, + 654, + 1474, + 696 + ] + }, + { + "text": "Ordinary Shares $330,397.23", + "bbox": [ + 169, + 707, + 1474, + 749 + ] + }, + { + "text": "Sales Revenue $590,278.87", + "bbox": [ + 170, + 761, + 1475, + 803 + ] + }, + { + "text": "Employee Compensation Expense $158,318.62", + "bbox": [ + 170, + 814, + 1475, + 856 + ] + }, + { + "text": "Lease and Services Expense $34,783.54", + "bbox": [ + 171, + 868, + 1476, + 910 + ] + }, + { + "text": "Adjusted Final Balance $1,869,792.94", + "bbox": [ + 254, + 923, + 1476, + 964 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1629/1629_dirty_3.json b/new_type_trial_balance/1629/1629_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..2c513d4df62b78c6fc50092b995c794e2018e8c3 --- /dev/null +++ b/new_type_trial_balance/1629/1629_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1629_dirty_3.png", + "labels": [ + { + "text": "Davenport-Campbell", + "bbox": [ + 172, + 180, + 600, + 225 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $93,464.47", + "bbox": [ + 172, + 392, + 1477, + 424 + ] + }, + { + "text": "Customer Receivables $57,550.69", + "bbox": [ + 172, + 445, + 1477, + 477 + ] + }, + { + "text": "Stock on Hand $76,423.72", + "bbox": [ + 172, + 499, + 1477, + 531 + ] + }, + { + "text": "Fixed Assets and Equipment $309,837.43", + "bbox": [ + 172, + 552, + 1477, + 584 + ] + }, + { + "text": "Vendor Payables $31,548.71", + "bbox": [ + 172, + 605, + 1477, + 638 + ] + }, + { + "text": "Promissory Notes Payable $187,189.66", + "bbox": [ + 173, + 659, + 1478, + 691 + ] + }, + { + "text": "Ordinary Shares $330,397.23", + "bbox": [ + 173, + 712, + 1478, + 744 + ] + }, + { + "text": "Sales Revenue $590,278.87", + "bbox": [ + 173, + 766, + 1478, + 798 + ] + }, + { + "text": "Employee Compensation Expense $158,318.62", + "bbox": [ + 173, + 819, + 1478, + 851 + ] + }, + { + "text": "Lease and Services Expense $34,783.54", + "bbox": [ + 173, + 873, + 1478, + 905 + ] + }, + { + "text": "Adjusted Final Balance $1,869,792.94", + "bbox": [ + 256, + 928, + 1478, + 960 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1629/1629_dirty_4.json b/new_type_trial_balance/1629/1629_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..0cd50ee7c1f000278dcf808555a529ed644d07fd --- /dev/null +++ b/new_type_trial_balance/1629/1629_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1629_dirty_4.png", + "labels": [ + { + "text": "Davenport-Campbell", + "bbox": [ + 191, + 168, + 619, + 220 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $93,464.47", + "bbox": [ + 187, + 382, + 1492, + 434 + ] + }, + { + "text": "Customer Receivables $57,550.69", + "bbox": [ + 186, + 435, + 1491, + 487 + ] + }, + { + "text": "Stock on Hand $76,423.72", + "bbox": [ + 185, + 489, + 1490, + 541 + ] + }, + { + "text": "Fixed Assets and Equipment $309,837.43", + "bbox": [ + 184, + 542, + 1490, + 594 + ] + }, + { + "text": "Vendor Payables $31,548.71", + "bbox": [ + 183, + 595, + 1489, + 648 + ] + }, + { + "text": "Promissory Notes Payable $187,189.66", + "bbox": [ + 182, + 649, + 1488, + 701 + ] + }, + { + "text": "Ordinary Shares $330,397.23", + "bbox": [ + 181, + 702, + 1487, + 754 + ] + }, + { + "text": "Sales Revenue $590,278.87", + "bbox": [ + 180, + 756, + 1486, + 808 + ] + }, + { + "text": "Employee Compensation Expense $158,318.62", + "bbox": [ + 179, + 809, + 1485, + 861 + ] + }, + { + "text": "Lease and Services Expense $34,783.54", + "bbox": [ + 178, + 863, + 1484, + 915 + ] + }, + { + "text": "Adjusted Final Balance $1,869,792.94", + "bbox": [ + 260, + 919, + 1483, + 970 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1629/1629_dirty_5.json b/new_type_trial_balance/1629/1629_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..eb5ff9d248e35ffffd7a1919ff18f58569536b6d --- /dev/null +++ b/new_type_trial_balance/1629/1629_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1629_dirty_5.png", + "labels": [ + { + "text": "Davenport-Campbell", + "bbox": [ + 159, + 186, + 588, + 236 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $93,464.47", + "bbox": [ + 162, + 395, + 1468, + 443 + ] + }, + { + "text": "Customer Receivables $57,550.69", + "bbox": [ + 163, + 448, + 1468, + 496 + ] + }, + { + "text": "Stock on Hand $76,423.72", + "bbox": [ + 164, + 502, + 1469, + 550 + ] + }, + { + "text": "Fixed Assets and Equipment $309,837.43", + "bbox": [ + 165, + 555, + 1470, + 603 + ] + }, + { + "text": "Vendor Payables $31,548.71", + "bbox": [ + 165, + 608, + 1471, + 657 + ] + }, + { + "text": "Promissory Notes Payable $187,189.66", + "bbox": [ + 166, + 662, + 1471, + 710 + ] + }, + { + "text": "Ordinary Shares $330,397.23", + "bbox": [ + 167, + 715, + 1472, + 763 + ] + }, + { + "text": "Sales Revenue $590,278.87", + "bbox": [ + 168, + 769, + 1473, + 817 + ] + }, + { + "text": "Employee Compensation Expense $158,318.62", + "bbox": [ + 168, + 822, + 1474, + 870 + ] + }, + { + "text": "Lease and Services Expense $34,783.54", + "bbox": [ + 169, + 876, + 1475, + 924 + ] + }, + { + "text": "Adjusted Final Balance $1,869,792.94", + "bbox": [ + 253, + 931, + 1475, + 978 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1629/1629_pdf.json b/new_type_trial_balance/1629/1629_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..a9ca660faa122f195f0ce5b53742c5db30e2feec --- /dev/null +++ b/new_type_trial_balance/1629/1629_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1629.pdf", + "labels": [ + { + "text": "Davenport-Campbell", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 216.71216325, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $93,464.47", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.5734077499999, + 152.40670650000004 + ] + }, + { + "text": "Customer Receivables $57,550.69", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock on Hand $76,423.72", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.5734077499999, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets and Equipment $309,837.43", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Vendor Payables $31,548.71", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Promissory Notes Payable $187,189.66", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Ordinary Shares $330,397.23", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Sales Revenue $590,278.87", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Employee Compensation Expense $158,318.62", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.571808, + 306.25045650000004 + ] + }, + { + "text": "Lease and Services Expense $34,783.54", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Adjusted Final Balance $1,869,792.94", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1681/1681.json b/new_type_trial_balance/1681/1681.json new file mode 100644 index 0000000000000000000000000000000000000000..da8ad4ecc46e0fc7b461d2b3a3a3a4e89f573719 --- /dev/null +++ b/new_type_trial_balance/1681/1681.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_1681.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Williams, Garcia and Rogers", + "bbox_px": [ + 165.09, + 179.89, + 755.96, + 229.06 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $93,264.27", + "bbox_px": [ + 167.06, + 388.23, + 1472.5, + 429.38 + ] + }, + { + "text": "Outstanding Receivables $39,983.51", + "bbox_px": [ + 167.55, + 441.64, + 1472.99, + 482.79 + ] + }, + { + "text": "Stock on Hand $80,488.43", + "bbox_px": [ + 168.04, + 495.06, + 1473.48, + 536.21 + ] + }, + { + "text": "Fixed Assets and Equipment $498,499.06", + "bbox_px": [ + 168.53, + 548.48, + 1473.96, + 589.62 + ] + }, + { + "text": "Pending Liabilities $60,158.16", + "bbox_px": [ + 169.02, + 601.89, + 1474.46, + 643.04 + ] + }, + { + "text": "Promissory Notes Payable $130,019.74", + "bbox_px": [ + 169.51, + 655.31, + 1474.95, + 696.46 + ] + }, + { + "text": "Ordinary Shares $173,789.40", + "bbox_px": [ + 170.0, + 708.72, + 1475.44, + 749.87 + ] + }, + { + "text": "Sales Revenue $412,904.77", + "bbox_px": [ + 170.49, + 762.14, + 1475.93, + 803.29 + ] + }, + { + "text": "Compensation Expense $145,377.06", + "bbox_px": [ + 170.98, + 815.55, + 1476.42, + 856.7 + ] + }, + { + "text": "Lease and Operational Costs $43,306.45", + "bbox_px": [ + 171.48, + 868.97, + 1476.91, + 910.12 + ] + }, + { + "text": "Final Adjusted Balance $1,677,790.85", + "bbox_px": [ + 255.31, + 924.47, + 1477.42, + 964.85 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1681/1681.pdf b/new_type_trial_balance/1681/1681.pdf new file mode 100644 index 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1474, + 427 + ] + }, + { + "text": "Outstanding Receivables $39,983.51", + "bbox": [ + 169, + 442, + 1474, + 480 + ] + }, + { + "text": "Stock on Hand $80,488.43", + "bbox": [ + 169, + 496, + 1474, + 534 + ] + }, + { + "text": "Fixed Assets and Equipment $498,499.06", + "bbox": [ + 169, + 549, + 1475, + 587 + ] + }, + { + "text": "Pending Liabilities $60,158.16", + "bbox": [ + 170, + 602, + 1475, + 641 + ] + }, + { + "text": "Promissory Notes Payable $130,019.74", + "bbox": [ + 170, + 656, + 1475, + 694 + ] + }, + { + "text": "Ordinary Shares $173,789.40", + "bbox": [ + 171, + 709, + 1476, + 747 + ] + }, + { + "text": "Sales Revenue $412,904.77", + "bbox": [ + 171, + 763, + 1476, + 801 + ] + }, + { + "text": "Compensation Expense $145,377.06", + "bbox": [ + 171, + 816, + 1476, + 854 + ] + }, + { + "text": "Lease and Operational Costs $43,306.45", + "bbox": [ + 172, + 870, + 1477, + 908 + ] + }, + { + "text": "Final Adjusted Balance $1,677,790.85", + "bbox": [ + 255, + 925, + 1477, + 962 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1681/1681_dirty_2.json b/new_type_trial_balance/1681/1681_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..4b704989af20a6e405a6ac7f9171d3e3aca1ee09 --- /dev/null +++ b/new_type_trial_balance/1681/1681_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1681_dirty_2.png", + "labels": [ + { + "text": "Williams, Garcia and Rogers", + "bbox": [ + 160, + 179, + 750, + 232 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $93,264.27", + "bbox": [ + 163, + 384, + 1468, + 432 + ] + }, + { + "text": "Outstanding Receivables $39,983.51", + "bbox": [ + 163, + 437, + 1469, + 485 + ] + }, + { + "text": "Stock on Hand $80,488.43", + "bbox": [ + 164, + 491, + 1469, + 539 + ] + }, + { + "text": "Fixed Assets and Equipment $498,499.06", + "bbox": [ + 165, + 544, + 1470, + 592 + ] + }, + { + "text": "Pending Liabilities $60,158.16", + "bbox": [ + 166, + 597, + 1471, + 646 + ] + }, + { + "text": "Promissory Notes Payable $130,019.74", + "bbox": [ + 166, + 651, + 1472, + 699 + ] + }, + { + "text": "Ordinary Shares $173,789.40", + "bbox": [ + 167, + 704, + 1472, + 752 + ] + }, + { + "text": "Sales Revenue $412,904.77", + "bbox": [ + 168, + 758, + 1473, + 806 + ] + }, + { + "text": "Compensation Expense $145,377.06", + "bbox": [ + 169, + 811, + 1474, + 859 + ] + }, + { + "text": "Lease and Operational Costs $43,306.45", + "bbox": [ + 169, + 865, + 1475, + 913 + ] + }, + { + "text": "Final Adjusted Balance $1,677,790.85", + "bbox": [ + 253, + 920, + 1475, + 967 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1681/1681_dirty_3.json b/new_type_trial_balance/1681/1681_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..b6237bc3a1cd2989942f3b26e1191f7f96465de7 --- /dev/null +++ b/new_type_trial_balance/1681/1681_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1681_dirty_3.png", + "labels": [ + { + "text": "Williams, Garcia and Rogers", + "bbox": [ + 187, + 163, + 777, + 215 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $93,264.27", + "bbox": [ + 184, + 374, + 1489, + 421 + ] + }, + { + "text": "Outstanding Receivables $39,983.51", + "bbox": [ + 183, + 427, + 1488, + 474 + ] + }, + { + "text": "Stock on Hand $80,488.43", + "bbox": [ + 182, + 481, + 1488, + 528 + ] + }, + { + "text": "Fixed Assets and Equipment $498,499.06", + "bbox": [ + 182, + 534, + 1487, + 581 + ] + }, + { + "text": "Pending Liabilities $60,158.16", + "bbox": [ + 181, + 587, + 1486, + 635 + ] + }, + { + "text": "Promissory Notes Payable $130,019.74", + "bbox": [ + 180, + 641, + 1485, + 688 + ] + }, + { + "text": "Ordinary Shares $173,789.40", + "bbox": [ + 179, + 694, + 1485, + 741 + ] + }, + { + "text": "Sales Revenue $412,904.77", + "bbox": [ + 179, + 748, + 1484, + 795 + ] + }, + { + "text": "Compensation Expense $145,377.06", + "bbox": [ + 178, + 801, + 1483, + 848 + ] + }, + { + "text": "Lease and Operational Costs $43,306.45", + "bbox": [ + 177, + 854, + 1483, + 902 + ] + }, + { + "text": "Final Adjusted Balance $1,677,790.85", + "bbox": [ + 259, + 911, + 1482, + 957 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1681/1681_dirty_4.json b/new_type_trial_balance/1681/1681_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..ff10fc21418d80cc94e61370b5efa2b2fa2d5e30 --- /dev/null +++ b/new_type_trial_balance/1681/1681_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1681_dirty_4.png", + "labels": [ + { + "text": "Williams, Garcia and Rogers", + "bbox": [ + 180, + 169, + 770, + 217 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $93,264.27", + "bbox": [ + 179, + 380, + 1484, + 418 + ] + }, + { + "text": "Outstanding Receivables $39,983.51", + "bbox": [ + 178, + 433, + 1483, + 471 + ] + }, + { + "text": "Stock on Hand $80,488.43", + "bbox": [ + 178, + 487, + 1483, + 525 + ] + }, + { + "text": "Fixed Assets and Equipment $498,499.06", + "bbox": [ + 178, + 540, + 1483, + 578 + ] + }, + { + "text": "Pending Liabilities $60,158.16", + "bbox": [ + 177, + 593, + 1482, + 632 + ] + }, + { + "text": "Promissory Notes Payable $130,019.74", + "bbox": [ + 177, + 647, + 1482, + 685 + ] + }, + { + "text": "Ordinary Shares $173,789.40", + "bbox": [ + 176, + 700, + 1482, + 738 + ] + }, + { + "text": "Sales Revenue $412,904.77", + "bbox": [ + 176, + 754, + 1481, + 792 + ] + }, + { + "text": "Compensation Expense $145,377.06", + "bbox": [ + 176, + 807, + 1481, + 845 + ] + }, + { + "text": "Lease and Operational Costs $43,306.45", + "bbox": [ + 175, + 861, + 1481, + 899 + ] + }, + { + "text": "Final Adjusted Balance $1,677,790.85", + "bbox": [ + 258, + 918, + 1480, + 955 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1681/1681_dirty_5.json b/new_type_trial_balance/1681/1681_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..096410d52dbbc1a7cc0f6f54e67175fd8881591f --- /dev/null +++ b/new_type_trial_balance/1681/1681_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1681_dirty_5.png", + "labels": [ + { + "text": "Williams, Garcia and Rogers", + "bbox": [ + 171, + 179, + 762, + 224 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $93,264.27", + "bbox": [ + 172, + 392, + 1477, + 424 + ] + }, + { + "text": "Outstanding Receivables $39,983.51", + "bbox": [ + 172, + 445, + 1477, + 477 + ] + }, + { + "text": "Stock on Hand $80,488.43", + "bbox": [ + 172, + 499, + 1477, + 531 + ] + }, + { + "text": "Fixed Assets and Equipment $498,499.06", + "bbox": [ + 172, + 552, + 1477, + 584 + ] + }, + { + "text": "Pending Liabilities $60,158.16", + "bbox": [ + 172, + 605, + 1477, + 638 + ] + }, + { + "text": "Promissory Notes Payable $130,019.74", + "bbox": [ + 172, + 659, + 1478, + 691 + ] + }, + { + "text": "Ordinary Shares $173,789.40", + "bbox": [ + 173, + 712, + 1478, + 744 + ] + }, + { + "text": "Sales Revenue $412,904.77", + "bbox": [ + 173, + 766, + 1478, + 798 + ] + }, + { + "text": "Compensation Expense $145,377.06", + "bbox": [ + 173, + 819, + 1478, + 851 + ] + }, + { + "text": "Lease and Operational Costs $43,306.45", + "bbox": [ + 173, + 873, + 1478, + 905 + ] + }, + { + "text": "Final Adjusted Balance $1,677,790.85", + "bbox": [ + 256, + 928, + 1478, + 960 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1681/1681_pdf.json b/new_type_trial_balance/1681/1681_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..095075fef540e59f59ac6fb7b702dfaf2581e429 --- /dev/null +++ b/new_type_trial_balance/1681/1681_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1681.pdf", + "labels": [ + { + "text": "Williams, Garcia and Rogers", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 275.27066325, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $93,264.27", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.5734077499999, + 152.40670650000004 + ] + }, + { + "text": "Outstanding Receivables $39,983.51", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock on Hand $80,488.43", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.5734077499999, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets and Equipment $498,499.06", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Pending Liabilities $60,158.16", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Promissory Notes Payable $130,019.74", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Ordinary Shares $173,789.40", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Sales Revenue $412,904.77", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Compensation Expense $145,377.06", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.571808, + 306.25045650000004 + ] + }, + { + "text": "Lease and Operational Costs $43,306.45", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Final Adjusted Balance $1,677,790.85", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1707/1707.json b/new_type_trial_balance/1707/1707.json new file mode 100644 index 0000000000000000000000000000000000000000..a78c4612675602620931f9c5d7670e2d94e1dcce --- /dev/null +++ b/new_type_trial_balance/1707/1707.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_1707.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Diaz-Garrison", + "bbox_px": [ + 186.48, + 170.88, + 473.9, + 218.36 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $148,470.47", + "bbox_px": [ + 183.88, + 385.77, + 1489.37, + 431.89 + ] + }, + { + "text": "Outstanding Receivables $35,035.76", + "bbox_px": [ + 183.19, + 439.19, + 1488.68, + 485.3 + ] + }, + { + "text": "Stock on Hand $119,463.21", + "bbox_px": [ + 182.5, + 492.6, + 1488.02, + 538.71 + ] + }, + { + "text": "Fixed Assets $392,239.68", + "bbox_px": [ + 181.8, + 546.01, + 1487.29, + 592.13 + ] + }, + { + "text": "Outstanding Liabilities $46,789.23", + "bbox_px": [ + 181.11, + 599.43, + 1486.6, + 645.54 + ] + }, + { + "text": "Promissory Notes $151,247.45", + "bbox_px": [ + 180.42, + 652.84, + 1485.9, + 698.95 + ] + }, + { + "text": "Ordinary Shares $215,291.30", + "bbox_px": [ + 179.72, + 706.25, + 1485.21, + 752.37 + ] + }, + { + "text": "Income $415,543.56", + "bbox_px": [ + 179.03, + 759.67, + 1484.52, + 805.78 + ] + }, + { + "text": "Personnel Costs $81,947.67", + "bbox_px": [ + 178.33, + 813.08, + 1483.83, + 859.19 + ] + }, + { + "text": "Operational Expenses $22,580.18", + "bbox_px": [ + 177.64, + 866.5, + 1483.13, + 912.61 + ] + }, + { + "text": "Net Adjusted Balance $1,628,608.51", + "bbox_px": [ + 260.25, + 923.07, + 1482.41, + 968.1 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1707/1707.pdf b/new_type_trial_balance/1707/1707.pdf new file mode 100644 index 0000000000000000000000000000000000000000..5c3ee8cffc63bcc675d3a6e3b48d872c0e4a5b6c Binary files /dev/null and b/new_type_trial_balance/1707/1707.pdf differ diff --git a/new_type_trial_balance/1707/1707.xlsx b/new_type_trial_balance/1707/1707.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..b4e3263137f2890b67edc3cdedfdba312012df87 Binary files /dev/null and b/new_type_trial_balance/1707/1707.xlsx differ diff --git a/new_type_trial_balance/1707/1707_dirty_1.json b/new_type_trial_balance/1707/1707_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..bdc4b843ce91bb0b37275e30db9a075a9dc37bda --- /dev/null +++ b/new_type_trial_balance/1707/1707_dirty_1.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1707_dirty_1.png", + "labels": [ + { + "text": "Diaz-Garrison", + "bbox": [ + 182, + 175, + 469, + 221 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $148,470.47", + "bbox": [ + 180, + 394, + 1485, + 434 + ] + }, + { + "text": "Outstanding Receivables $35,035.76", + "bbox": [ + 180, + 447, + 1485, + 487 + ] + }, + { + "text": "Stock on Hand $119,463.21", + "bbox": [ + 179, + 501, + 1484, + 541 + ] + }, + { + "text": "Fixed Assets $392,239.68", + "bbox": [ + 179, + 554, + 1484, + 594 + ] + }, + { + "text": "Outstanding Liabilities $46,789.23", + "bbox": [ + 178, + 607, + 1483, + 648 + ] + }, + { + "text": "Promissory Notes $151,247.45", + "bbox": [ + 178, + 661, + 1483, + 701 + ] + }, + { + "text": "Ordinary Shares $215,291.30", + "bbox": [ + 177, + 714, + 1482, + 754 + ] + }, + { + "text": "Income $415,543.56", + "bbox": [ + 177, + 768, + 1482, + 808 + ] + }, + { + "text": "Personnel Costs $81,947.67", + "bbox": [ + 176, + 821, + 1482, + 861 + ] + }, + { + "text": "Operational Expenses $22,580.18", + "bbox": [ + 176, + 875, + 1481, + 915 + ] + }, + { + "text": "Net Adjusted Balance $1,628,608.51", + "bbox": [ + 258, + 931, + 1481, + 970 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1707/1707_dirty_2.json b/new_type_trial_balance/1707/1707_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..8d491a1962ca064484f2f6d6d3bff031bd4124d1 --- /dev/null +++ b/new_type_trial_balance/1707/1707_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1707_dirty_2.png", + "labels": [ + { + "text": "Diaz-Garrison", + "bbox": [ + 173, + 179, + 460, + 223 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $148,470.47", + "bbox": [ + 173, + 393, + 1478, + 423 + ] + }, + { + "text": "Outstanding Receivables $35,035.76", + "bbox": [ + 173, + 446, + 1478, + 476 + ] + }, + { + "text": "Stock on Hand $119,463.21", + "bbox": [ + 173, + 500, + 1478, + 530 + ] + }, + { + "text": "Fixed Assets $392,239.68", + "bbox": [ + 173, + 553, + 1478, + 583 + ] + }, + { + "text": "Outstanding Liabilities $46,789.23", + "bbox": [ + 173, + 606, + 1478, + 637 + ] + }, + { + "text": "Promissory Notes $151,247.45", + "bbox": [ + 173, + 660, + 1478, + 690 + ] + }, + { + "text": "Ordinary Shares $215,291.30", + "bbox": [ + 173, + 713, + 1478, + 743 + ] + }, + { + "text": "Income $415,543.56", + "bbox": [ + 173, + 767, + 1478, + 797 + ] + }, + { + "text": "Personnel Costs $81,947.67", + "bbox": [ + 173, 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1476, + 532 + ] + }, + { + "text": "Fixed Assets $392,239.68", + "bbox": [ + 171, + 551, + 1476, + 585 + ] + }, + { + "text": "Outstanding Liabilities $46,789.23", + "bbox": [ + 172, + 604, + 1477, + 639 + ] + }, + { + "text": "Promissory Notes $151,247.45", + "bbox": [ + 172, + 658, + 1477, + 692 + ] + }, + { + "text": "Ordinary Shares $215,291.30", + "bbox": [ + 172, + 711, + 1477, + 745 + ] + }, + { + "text": "Income $415,543.56", + "bbox": [ + 172, + 765, + 1477, + 799 + ] + }, + { + "text": "Personnel Costs $81,947.67", + "bbox": [ + 172, + 818, + 1477, + 852 + ] + }, + { + "text": "Operational Expenses $22,580.18", + "bbox": [ + 172, + 872, + 1478, + 906 + ] + }, + { + "text": "Net Adjusted Balance $1,628,608.51", + "bbox": [ + 256, + 927, + 1478, + 960 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1707/1707_dirty_4.json b/new_type_trial_balance/1707/1707_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..bd0c7a2d9ba5d837d9b20ea1155249c1c855dd7f --- /dev/null +++ b/new_type_trial_balance/1707/1707_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1707_dirty_4.png", + "labels": [ + { + "text": "Diaz-Garrison", + "bbox": [ + 169, + 184, + 456, + 229 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $148,470.47", + "bbox": [ + 170, + 405, + 1475, + 439 + ] + }, + { + "text": "Outstanding Receivables $35,035.76", + "bbox": [ + 170, + 458, + 1475, + 492 + ] + }, + { + "text": "Stock on Hand $119,463.21", + "bbox": [ + 170, + 512, + 1476, + 546 + ] + }, + { + "text": "Fixed Assets $392,239.68", + "bbox": [ + 171, + 565, + 1476, + 599 + ] + }, + { + "text": "Outstanding Liabilities $46,789.23", + "bbox": [ + 171, + 618, + 1476, + 653 + ] + }, + { + "text": "Promissory Notes $151,247.45", + "bbox": [ + 171, + 672, + 1476, + 706 + ] + }, + { + "text": "Ordinary Shares $215,291.30", + "bbox": [ + 171, + 725, + 1477, + 759 + ] + }, + { + "text": "Income $415,543.56", + "bbox": [ + 172, + 779, + 1477, + 813 + ] + }, + { + "text": "Personnel Costs $81,947.67", + "bbox": [ + 172, + 832, + 1477, + 866 + ] + }, + { + "text": "Operational Expenses $22,580.18", + "bbox": [ + 172, + 886, + 1477, + 920 + ] + }, + { + "text": "Net Adjusted Balance $1,628,608.51", + "bbox": [ + 255, + 941, + 1478, + 975 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1707/1707_dirty_5.json b/new_type_trial_balance/1707/1707_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..4301f1bfd3008653dcb36763bd12388814048dff --- /dev/null +++ b/new_type_trial_balance/1707/1707_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1707_dirty_5.png", + "labels": [ + { + "text": "Diaz-Garrison", + "bbox": [ + 158, + 184, + 446, + 233 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $148,470.47", + "bbox": [ + 161, + 383, + 1467, + 433 + ] + }, + { + "text": "Outstanding Receivables $35,035.76", + "bbox": [ + 162, + 436, + 1467, + 486 + ] + }, + { + "text": "Stock on Hand $119,463.21", + "bbox": [ + 163, + 490, + 1468, + 540 + ] + }, + { + "text": "Fixed Assets $392,239.68", + "bbox": [ + 164, + 543, + 1469, + 593 + ] + }, + { + "text": "Outstanding Liabilities $46,789.23", + "bbox": [ + 165, + 596, + 1470, + 647 + ] + }, + { + "text": "Promissory Notes $151,247.45", + "bbox": [ + 166, + 650, + 1471, + 700 + ] + }, + { + "text": "Ordinary Shares $215,291.30", + "bbox": [ + 166, + 703, + 1472, + 753 + ] + }, + { + "text": "Income $415,543.56", + "bbox": [ + 167, + 757, + 1473, + 807 + ] + }, + { + "text": "Personnel Costs $81,947.67", + "bbox": [ + 168, + 810, + 1473, + 860 + ] + }, + { + "text": "Operational Expenses $22,580.18", + "bbox": [ + 169, + 864, + 1474, + 914 + ] + }, + { + "text": "Net Adjusted Balance $1,628,608.51", + "bbox": [ + 253, + 919, + 1475, + 968 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1707/1707_pdf.json b/new_type_trial_balance/1707/1707_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..1ad2d6623d9cd83c1733d407ea268e8d72c85912 --- /dev/null +++ b/new_type_trial_balance/1707/1707_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1707.pdf", + "labels": [ + { + "text": "Diaz-Garrison", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 165.96566325000003, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $148,470.47", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.571808, + 152.40670650000004 + ] + }, + { + "text": "Outstanding Receivables $35,035.76", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock on Hand $119,463.21", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.58460525, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $392,239.68", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Outstanding Liabilities $46,789.23", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Promissory Notes $151,247.45", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Ordinary Shares $215,291.30", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Income $415,543.56", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Personnel Costs $81,947.67", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.5734077499999, + 306.25045650000004 + ] + }, + { + "text": "Operational Expenses $22,580.18", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Net Adjusted Balance $1,628,608.51", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1746/1746.json b/new_type_trial_balance/1746/1746.json new file mode 100644 index 0000000000000000000000000000000000000000..b86c5d6420cf12a08d0d5fb71196c4e43d310337 --- /dev/null +++ b/new_type_trial_balance/1746/1746.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_1746.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Torres-Walker", + "bbox_px": [ + 149.73, + 188.63, + 440.05, + 239.56 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $121,653.03", + "bbox_px": [ + 155.08, + 378.2, + 1460.62, + 439.82 + ] + }, + { + "text": "Outstanding Invoices $70,805.03", + "bbox_px": [ + 156.41, + 431.6, + 1461.95, + 493.22 + ] + }, + { + "text": "Stock on Hand $52,564.81", + "bbox_px": [ + 157.73, + 485.0, + 1463.28, + 546.62 + ] + }, + { + "text": "Fixed Assets $315,420.61", + "bbox_px": [ + 159.06, + 538.4, + 1464.6, + 600.03 + ] + }, + { + "text": "Unpaid Liabilities $35,363.89", + "bbox_px": [ + 160.39, + 591.8, + 1465.94, + 653.43 + ] + }, + { + "text": "Borrowings Due $168,086.04", + "bbox_px": [ + 161.72, + 645.21, + 1467.26, + 706.83 + ] + }, + { + "text": "Equity Shares $211,530.64", + "bbox_px": [ + 163.05, + 698.61, + 1468.63, + 760.23 + ] + }, + { + "text": "Sales Income $445,454.46", + "bbox_px": [ + 164.38, + 752.01, + 1469.92, + 813.63 + ] + }, + { + "text": "Personnel Costs $122,087.22", + "bbox_px": [ + 165.71, + 805.41, + 1471.25, + 867.03 + ] + }, + { + "text": "Lease and Service Charges $27,685.17", + "bbox_px": [ + 167.04, + 858.81, + 1472.58, + 920.43 + ] + }, + { + "text": "Final Reconciled Total $1,570,650.90", + "bbox_px": [ + 251.72, + 914.3, + 1473.96, + 973.85 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1746/1746.pdf b/new_type_trial_balance/1746/1746.pdf new file mode 100644 index 0000000000000000000000000000000000000000..0997a7af7019904308da64a45d7bce46576b4f5c Binary files /dev/null and b/new_type_trial_balance/1746/1746.pdf differ diff --git a/new_type_trial_balance/1746/1746.xlsx b/new_type_trial_balance/1746/1746.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..d7c777f116b5319baa6d871e11ec31bb87bf4eb9 Binary files /dev/null and b/new_type_trial_balance/1746/1746.xlsx differ diff --git a/new_type_trial_balance/1746/1746_dirty_1.json b/new_type_trial_balance/1746/1746_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..49918aa5f319e4b1eba4e292ad44914094052b8f --- /dev/null +++ b/new_type_trial_balance/1746/1746_dirty_1.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1746_dirty_1.png", + "labels": [ + { + "text": "Torres-Walker", + "bbox": [ + 162, + 179, + 452, + 226 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $121,653.03", + "bbox": [ + 165, + 374, + 1470, + 418 + ] + }, + { + "text": "Outstanding Invoices $70,805.03", + "bbox": [ + 165, + 427, + 1470, + 471 + ] + }, + { + "text": "Stock on Hand $52,564.81", + "bbox": [ + 166, + 481, + 1471, + 525 + ] + }, + { + "text": "Fixed Assets $315,420.61", + "bbox": [ + 166, + 534, + 1472, + 578 + ] + }, + { + "text": "Unpaid Liabilities $35,363.89", + "bbox": [ + 167, + 587, + 1472, + 632 + ] + }, + { + "text": "Borrowings Due $168,086.04", + "bbox": [ + 168, + 641, + 1473, + 685 + ] + }, + { + "text": "Equity Shares $211,530.64", + "bbox": [ + 168, + 694, + 1474, + 738 + ] + }, + { + "text": "Sales Income $445,454.46", + "bbox": [ + 169, + 748, + 1474, + 792 + ] + }, + { + "text": "Personnel Costs $122,087.22", + "bbox": [ + 170, + 801, + 1475, + 845 + ] + }, + { + "text": "Lease and Service Charges $27,685.17", + "bbox": [ + 170, + 855, + 1475, + 899 + ] + }, + { + "text": "Final Reconciled Total $1,570,650.90", + "bbox": [ + 254, + 910, + 1476, + 953 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1746/1746_dirty_2.json b/new_type_trial_balance/1746/1746_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..236fa1e9c363315a5a11e9e9d4ec6a13c9c46f96 --- /dev/null +++ b/new_type_trial_balance/1746/1746_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1746_dirty_2.png", + "labels": [ + { + "text": "Torres-Walker", + "bbox": [ + 188, + 173, + 477, + 221 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $121,653.03", + "bbox": [ + 185, + 384, + 1490, + 432 + ] + }, + { + "text": "Outstanding Invoices $70,805.03", + "bbox": [ + 184, + 437, + 1489, + 485 + ] + }, + { + "text": "Stock on Hand $52,564.81", + "bbox": [ + 183, + 491, + 1488, + 539 + ] + }, + { + "text": "Fixed Assets $315,420.61", + "bbox": [ + 182, + 544, + 1488, + 592 + ] + }, + { + "text": "Unpaid Liabilities $35,363.89", + "bbox": [ + 181, + 597, + 1487, + 646 + ] + }, + { + "text": "Borrowings Due $168,086.04", + "bbox": [ + 181, + 651, + 1486, + 699 + ] + }, + { + "text": "Equity Shares $211,530.64", + "bbox": [ + 180, + 704, + 1485, + 752 + ] + }, + { + "text": "Sales Income $445,454.46", + "bbox": [ + 179, + 758, + 1484, + 806 + ] + }, + { + "text": "Personnel Costs $122,087.22", + "bbox": [ + 178, + 811, + 1484, + 859 + ] + }, + { + "text": "Lease and Service Charges $27,685.17", + "bbox": [ + 177, + 865, + 1483, + 913 + ] + }, + { + "text": "Final Reconciled Total $1,570,650.90", + "bbox": [ + 260, + 921, + 1482, + 968 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1746/1746_dirty_3.json b/new_type_trial_balance/1746/1746_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..8b2336be055ad1e8a6abf6585629f3244166daae --- /dev/null +++ b/new_type_trial_balance/1746/1746_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1746_dirty_3.png", + "labels": [ + { + "text": "Torres-Walker", + "bbox": [ + 180, + 177, + 469, + 223 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $121,653.03", + "bbox": [ + 178, + 389, + 1483, + 427 + ] + }, + { + "text": "Outstanding Invoices $70,805.03", + "bbox": [ + 178, + 442, + 1483, + 480 + ] + }, + { + "text": "Stock on Hand $52,564.81", + "bbox": [ + 178, + 496, + 1483, + 534 + ] + }, + { + "text": "Fixed Assets $315,420.61", + "bbox": [ + 177, + 549, + 1482, + 587 + ] + }, + { + "text": "Unpaid Liabilities $35,363.89", + "bbox": [ + 177, + 602, + 1482, + 641 + ] + }, + { + "text": "Borrowings Due $168,086.04", + "bbox": [ + 177, + 656, + 1482, + 694 + ] + }, + { + "text": "Equity Shares $211,530.64", + "bbox": [ + 176, + 709, + 1481, + 747 + ] + }, + { + "text": "Sales Income $445,454.46", + "bbox": [ + 176, + 763, + 1481, + 801 + ] + }, + { + "text": "Personnel Costs $122,087.22", + "bbox": [ + 176, + 816, + 1481, + 854 + ] + }, + { + "text": "Lease and Service Charges $27,685.17", + "bbox": [ + 175, + 870, + 1480, + 908 + ] + }, + { + "text": "Final Reconciled Total $1,570,650.90", + "bbox": [ + 258, + 926, + 1480, + 963 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1746/1746_dirty_4.json b/new_type_trial_balance/1746/1746_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..a2c80a19b0febe1f5df47102060720552e63a360 --- /dev/null +++ b/new_type_trial_balance/1746/1746_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1746_dirty_4.png", + "labels": [ + { + "text": "Torres-Walker", + "bbox": [ + 176, + 181, + 465, + 226 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $121,653.03", + "bbox": [ + 176, + 392, + 1481, + 424 + ] + }, + { + "text": "Outstanding Invoices $70,805.03", + "bbox": [ + 175, + 445, + 1480, + 477 + ] + }, + { + "text": "Stock on Hand $52,564.81", + "bbox": [ + 175, + 499, + 1480, + 531 + ] + }, + { + "text": "Fixed Assets $315,420.61", + "bbox": [ + 175, + 552, + 1480, + 584 + ] + }, + { + "text": "Unpaid Liabilities $35,363.89", + "bbox": [ + 175, + 605, + 1480, + 638 + ] + }, + { + "text": "Borrowings Due $168,086.04", + "bbox": [ + 175, + 659, + 1480, + 691 + ] + }, + { + "text": "Equity Shares $211,530.64", + "bbox": [ + 175, + 712, + 1480, + 744 + ] + }, + { + "text": "Sales Income $445,454.46", + "bbox": [ + 175, + 766, + 1480, + 798 + ] + }, + { + "text": "Personnel Costs $122,087.22", + "bbox": [ + 174, + 819, + 1479, + 851 + ] + }, + { + "text": "Lease and Service Charges $27,685.17", + "bbox": [ + 174, + 873, + 1479, + 905 + ] + }, + { + "text": "Final Reconciled Total $1,570,650.90", + "bbox": [ + 257, + 928, + 1479, + 960 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1746/1746_dirty_5.json b/new_type_trial_balance/1746/1746_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..53502d7a911b1b0b09affeca8ff70eeb6eff2fb8 --- /dev/null +++ b/new_type_trial_balance/1746/1746_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1746_dirty_5.png", + "labels": [ + { + "text": "Torres-Walker", + "bbox": [ + 173, + 181, + 462, + 225 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $121,653.03", + "bbox": [ + 173, + 393, + 1478, + 423 + ] + }, + { + "text": "Outstanding Invoices $70,805.03", + "bbox": [ + 173, + 446, + 1478, + 476 + ] + }, + { + "text": "Stock on Hand $52,564.81", + "bbox": [ + 173, + 500, + 1478, + 530 + ] + }, + { + "text": "Fixed Assets $315,420.61", + "bbox": [ + 173, + 553, + 1478, + 583 + ] + }, + { + "text": "Unpaid Liabilities $35,363.89", + "bbox": [ + 173, + 606, + 1478, + 637 + ] + }, + { + "text": "Borrowings Due $168,086.04", + "bbox": [ + 173, + 660, + 1478, + 690 + ] + }, + { + "text": "Equity Shares $211,530.64", + "bbox": [ + 173, + 713, + 1478, + 743 + ] + }, + { + "text": "Sales Income $445,454.46", + "bbox": [ + 173, + 767, + 1478, + 797 + ] + }, + { + "text": "Personnel Costs $122,087.22", + "bbox": [ + 173, + 820, + 1478, + 850 + ] + }, + { + "text": "Lease and Service Charges $27,685.17", + "bbox": [ + 173, + 874, + 1478, + 904 + ] + }, + { + "text": "Final Reconciled Total $1,570,650.90", + "bbox": [ + 256, + 929, + 1478, + 959 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1746/1746_pdf.json b/new_type_trial_balance/1746/1746_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..4ab6e4cc622ad5184afdbca13126d029a19049bd --- /dev/null +++ b/new_type_trial_balance/1746/1746_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1746.pdf", + "labels": [ + { + "text": "Torres-Walker", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 166.84766325, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $121,653.03", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.571808, + 152.40670650000004 + ] + }, + { + "text": "Outstanding Invoices $70,805.03", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock on Hand $52,564.81", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.5734077499999, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $315,420.61", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Unpaid Liabilities $35,363.89", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Borrowings Due $168,086.04", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Equity Shares $211,530.64", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.58460525, + 267.78951900000004 + ] + }, + { + "text": "Sales Income $445,454.46", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Personnel Costs $122,087.22", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.571808, + 306.25045650000004 + ] + }, + { + "text": "Lease and Service Charges $27,685.17", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Final Reconciled Total $1,570,650.90", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1748/1748.json b/new_type_trial_balance/1748/1748.json new file mode 100644 index 0000000000000000000000000000000000000000..b5edcb3bab55ea0c5700f3672e244aa759c836a0 --- /dev/null +++ b/new_type_trial_balance/1748/1748.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_1748.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Ward PLC", + "bbox_px": [ + 164.18, + 183.83, + 372.03, + 229.67 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $58,571.18", + "bbox_px": [ + 166.35, + 387.63, + 1471.8, + 429.99 + ] + }, + { + "text": "Trade Receivables $56,290.67", + "bbox_px": [ + 166.89, + 441.05, + 1472.34, + 483.4 + ] + }, + { + "text": "Stock on Hand $113,890.96", + "bbox_px": [ + 167.43, + 494.46, + 1472.91, + 536.82 + ] + }, + { + "text": "Fixed Assets $333,472.60", + "bbox_px": [ + 167.97, + 547.88, + 1473.42, + 590.23 + ] + }, + { + "text": "Trade Payables $46,018.03", + "bbox_px": [ + 168.51, + 601.29, + 1473.96, + 643.65 + ] + }, + { + "text": "Borrowings $180,392.26", + "bbox_px": [ + 169.05, + 654.71, + 1474.5, + 697.06 + ] + }, + { + "text": "Ordinary Shares $318,848.01", + "bbox_px": [ + 169.59, + 708.12, + 1475.04, + 750.48 + ] + }, + { + "text": "Sales Revenue $323,981.24", + "bbox_px": [ + 170.13, + 761.54, + 1475.58, + 803.89 + ] + }, + { + "text": "Compensation Expense $60,659.49", + "bbox_px": [ + 170.67, + 814.96, + 1476.12, + 857.31 + ] + }, + { + "text": "Lease and Services Expense $39,272.69", + "bbox_px": [ + 171.21, + 868.37, + 1476.66, + 910.72 + ] + }, + { + "text": "Net Adjusted Balance $1,531,397.13", + "bbox_px": [ + 255.1, + 923.87, + 1477.22, + 965.38 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1748/1748.pdf b/new_type_trial_balance/1748/1748.pdf new file mode 100644 index 0000000000000000000000000000000000000000..f875f4cfc359543c81febfde2b65a50495a8d150 Binary files /dev/null and b/new_type_trial_balance/1748/1748.pdf differ diff --git a/new_type_trial_balance/1748/1748.xlsx b/new_type_trial_balance/1748/1748.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..1451ed45ef792cd1e1f8202c18dfbbf76a1654ee Binary files /dev/null and b/new_type_trial_balance/1748/1748.xlsx differ diff --git a/new_type_trial_balance/1748/1748_dirty_1.json b/new_type_trial_balance/1748/1748_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..ea250bc0d614f1d915f35dfbfdae808934e45daf --- /dev/null +++ b/new_type_trial_balance/1748/1748_dirty_1.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1748_dirty_1.png", + "labels": [ + { + "text": "Ward PLC", + "bbox": [ + 157, + 192, + 365, + 239 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $58,571.18", + "bbox": [ + 161, + 383, + 1466, + 433 + ] + }, + { + "text": "Trade Receivables $56,290.67", + "bbox": [ + 162, + 436, + 1467, + 486 + ] + }, + { + "text": "Stock on Hand $113,890.96", + "bbox": [ + 163, + 490, + 1468, + 540 + ] + }, + { + "text": "Fixed Assets $333,472.60", + "bbox": [ + 164, + 543, + 1469, + 593 + ] + }, + { + "text": "Trade Payables $46,018.03", + "bbox": [ + 164, + 596, + 1470, + 647 + ] + }, + { + "text": "Borrowings $180,392.26", + "bbox": [ + 165, + 650, + 1471, + 700 + ] + }, + { + "text": "Ordinary Shares $318,848.01", + "bbox": [ + 166, + 703, + 1471, + 753 + ] + }, + { + "text": "Sales Revenue $323,981.24", + "bbox": [ + 167, + 757, + 1472, + 807 + ] + }, + { + "text": "Compensation Expense $60,659.49", + "bbox": [ + 168, + 810, + 1473, + 860 + ] + }, + { + "text": "Lease and Services Expense $39,272.69", + "bbox": [ + 169, + 864, + 1474, + 914 + ] + }, + { + "text": "Net Adjusted Balance $1,531,397.13", + "bbox": [ + 253, + 919, + 1475, + 968 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1748/1748_dirty_2.json b/new_type_trial_balance/1748/1748_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..827962f526f3ba93650c96dd790c35171249556d --- /dev/null +++ b/new_type_trial_balance/1748/1748_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1748_dirty_2.png", + "labels": [ + { + "text": "Ward PLC", + "bbox": [ + 184, + 172, + 391, + 218 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $58,571.18", + "bbox": [ + 181, + 387, + 1487, + 429 + ] + }, + { + "text": "Trade Receivables $56,290.67", + "bbox": [ + 181, + 440, + 1486, + 482 + ] + }, + { + "text": "Stock on Hand $113,890.96", + "bbox": [ + 180, + 494, + 1486, + 536 + ] + }, + { + "text": "Fixed Assets $333,472.60", + "bbox": [ + 180, + 547, + 1485, + 589 + ] + }, + { + "text": "Trade Payables $46,018.03", + "bbox": [ + 179, + 600, + 1484, + 643 + ] + }, + { + "text": "Borrowings $180,392.26", + "bbox": [ + 179, + 654, + 1484, + 696 + ] + }, + { + "text": "Ordinary Shares $318,848.01", + "bbox": [ + 178, + 707, + 1483, + 749 + ] + }, + { + "text": "Sales Revenue $323,981.24", + "bbox": [ + 177, + 761, + 1483, + 803 + ] + }, + { + "text": "Compensation Expense $60,659.49", + "bbox": [ + 177, + 814, + 1482, + 856 + ] + }, + { + "text": "Lease and Services Expense $39,272.69", + "bbox": [ + 176, + 868, + 1482, + 910 + ] + }, + { + "text": "Net Adjusted Balance $1,531,397.13", + "bbox": [ + 259, + 924, + 1481, + 965 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1748/1748_dirty_3.json b/new_type_trial_balance/1748/1748_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..02d9410b3b5ad2d48f1916305a205604fa497441 --- /dev/null +++ b/new_type_trial_balance/1748/1748_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1748_dirty_3.png", + "labels": [ + { + "text": "Ward PLC", + "bbox": [ + 181, + 173, + 388, + 219 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $58,571.18", + "bbox": [ + 179, + 388, + 1484, + 428 + ] + }, + { + "text": "Trade Receivables $56,290.67", + "bbox": [ + 179, + 441, + 1484, + 481 + ] + }, + { + "text": "Stock on Hand $113,890.96", + "bbox": [ + 178, + 495, + 1484, + 535 + ] + }, + { + "text": "Fixed Assets $333,472.60", + "bbox": [ + 178, + 548, + 1483, + 588 + ] + }, + { + "text": "Trade Payables $46,018.03", + "bbox": [ + 178, + 601, + 1483, + 642 + ] + }, + { + "text": "Borrowings $180,392.26", + "bbox": [ + 177, + 655, + 1482, + 695 + ] + }, + { + "text": "Ordinary Shares $318,848.01", + "bbox": [ + 177, + 708, + 1482, + 748 + ] + }, + { + "text": "Sales Revenue $323,981.24", + "bbox": [ + 176, + 762, + 1482, + 802 + ] + }, + { + "text": "Compensation Expense $60,659.49", + "bbox": [ + 176, + 815, + 1481, + 855 + ] + }, + { + "text": "Lease and Services Expense $39,272.69", + "bbox": [ + 176, + 869, + 1481, + 909 + ] + }, + { + "text": "Net Adjusted Balance $1,531,397.13", + "bbox": [ + 258, + 925, + 1480, + 964 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1748/1748_dirty_4.json b/new_type_trial_balance/1748/1748_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..c8a4f128aae259cfeef3273569c51d446d478bf1 --- /dev/null +++ b/new_type_trial_balance/1748/1748_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1748_dirty_4.png", + "labels": [ + { + "text": "Ward PLC", + "bbox": [ + 190, + 167, + 398, + 215 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $58,571.18", + "bbox": [ + 186, + 382, + 1492, + 434 + ] + }, + { + "text": "Trade Receivables $56,290.67", + "bbox": [ + 186, + 435, + 1491, + 487 + ] + }, + { + "text": "Stock on Hand $113,890.96", + "bbox": [ + 185, + 489, + 1490, + 541 + ] + }, + { + "text": "Fixed Assets $333,472.60", + "bbox": [ + 184, + 542, + 1489, + 594 + ] + }, + { + "text": "Trade Payables $46,018.03", + "bbox": [ + 183, + 595, + 1488, + 648 + ] + }, + { + "text": "Borrowings $180,392.26", + "bbox": [ + 182, + 649, + 1487, + 701 + ] + }, + { + "text": "Ordinary Shares $318,848.01", + "bbox": [ + 181, + 702, + 1486, + 754 + ] + }, + { + "text": "Sales Revenue $323,981.24", + "bbox": [ + 180, + 756, + 1485, + 808 + ] + }, + { + "text": "Compensation Expense $60,659.49", + "bbox": [ + 179, + 809, + 1484, + 861 + ] + }, + { + "text": "Lease and Services Expense $39,272.69", + "bbox": [ + 178, + 863, + 1483, + 915 + ] + }, + { + "text": "Net Adjusted Balance $1,531,397.13", + "bbox": [ + 260, + 920, + 1483, + 970 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1748/1748_dirty_5.json b/new_type_trial_balance/1748/1748_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..b38cf23b3f5dc5144c826b53064e8119affb55a0 --- /dev/null +++ b/new_type_trial_balance/1748/1748_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1748_dirty_5.png", + "labels": [ + { + "text": "Ward PLC", + "bbox": [ + 165, + 185, + 372, + 231 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $58,571.18", + "bbox": [ + 167, + 388, + 1472, + 428 + ] + }, + { + "text": "Trade Receivables $56,290.67", + "bbox": [ + 167, + 441, + 1473, + 481 + ] + }, + { + "text": "Stock on Hand $113,890.96", + "bbox": [ + 168, + 495, + 1473, + 535 + ] + }, + { + "text": "Fixed Assets $333,472.60", + "bbox": [ + 168, + 548, + 1473, + 588 + ] + }, + { + "text": "Trade Payables $46,018.03", + "bbox": [ + 169, + 601, + 1474, + 642 + ] + }, + { + "text": "Borrowings $180,392.26", + "bbox": [ + 169, + 655, + 1474, + 695 + ] + }, + { + "text": "Ordinary Shares $318,848.01", + "bbox": [ + 170, + 708, + 1475, + 748 + ] + }, + { + "text": "Sales Revenue $323,981.24", + "bbox": [ + 170, + 762, + 1475, + 802 + ] + }, + { + "text": "Compensation Expense $60,659.49", + "bbox": [ + 171, + 815, + 1476, + 855 + ] + }, + { + "text": "Lease and Services Expense $39,272.69", + "bbox": [ + 171, + 869, + 1476, + 909 + ] + }, + { + "text": "Net Adjusted Balance $1,531,397.13", + "bbox": [ + 254, + 924, + 1477, + 963 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1748/1748_pdf.json b/new_type_trial_balance/1748/1748_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..1a47242dc74becfb32d50c0a3482a60a9f35201b --- /dev/null +++ b/new_type_trial_balance/1748/1748_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1748.pdf", + "labels": [ + { + "text": "Ward PLC", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 137.36366325, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $58,571.18", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.5734077499999, + 152.40670650000004 + ] + }, + { + "text": "Trade Receivables $56,290.67", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock on Hand $113,890.96", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.58460525, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $333,472.60", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Trade Payables $46,018.03", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Borrowings $180,392.26", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Ordinary Shares $318,848.01", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Sales Revenue $323,981.24", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Compensation Expense $60,659.49", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.5734077499999, + 306.25045650000004 + ] + }, + { + "text": "Lease and Services Expense $39,272.69", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Net Adjusted Balance $1,531,397.13", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1769/1769.json b/new_type_trial_balance/1769/1769.json new file mode 100644 index 0000000000000000000000000000000000000000..0814e093a1a99cfce31e889d2ae945f965becc1b --- /dev/null +++ b/new_type_trial_balance/1769/1769.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_1769.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Moss-Brock", + "bbox_px": [ + 179.75, + 175.44, + 430.39, + 220.67 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $128,877.95", + "bbox_px": [ + 178.57, + 390.34, + 1483.93, + 427.22 + ] + }, + { + "text": "Outstanding Receivables $34,197.61", + "bbox_px": [ + 178.25, + 443.76, + 1483.62, + 480.64 + ] + }, + { + "text": "Stock on Hand $70,400.58", + "bbox_px": [ + 177.93, + 497.17, + 1483.31, + 534.06 + ] + }, + { + "text": "Fixed Assets $342,959.98", + "bbox_px": [ + 177.62, + 550.59, + 1482.99, + 587.47 + ] + }, + { + "text": "Pending Liabilities $56,705.66", + "bbox_px": [ + 177.3, + 604.01, + 1482.68, + 640.89 + ] + }, + { + "text": "Debt Instruments $167,399.34", + "bbox_px": [ + 176.99, + 657.42, + 1482.36, + 694.31 + ] + }, + { + "text": "Ordinary Shares $289,759.52", + "bbox_px": [ + 176.67, + 710.84, + 1482.04, + 747.72 + ] + }, + { + "text": "Income $263,894.54", + "bbox_px": [ + 176.36, + 764.26, + 1481.72, + 801.14 + ] + }, + { + "text": "Compensation Costs $135,177.73", + "bbox_px": [ + 176.04, + 817.68, + 1481.41, + 854.56 + ] + }, + { + "text": "Lease and Operational Costs $23,624.76", + "bbox_px": [ + 175.72, + 871.09, + 1481.1, + 907.97 + ] + }, + { + "text": "Final Balanced Total $1,512,997.67", + "bbox_px": [ + 258.73, + 927.09, + 1480.77, + 963.48 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1769/1769.pdf b/new_type_trial_balance/1769/1769.pdf new file mode 100644 index 0000000000000000000000000000000000000000..11689934cce6e8602bbdfa532d615a15b98c3dbf Binary files /dev/null and b/new_type_trial_balance/1769/1769.pdf differ diff --git a/new_type_trial_balance/1769/1769.xlsx b/new_type_trial_balance/1769/1769.xlsx new file mode 100644 index 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[ + 160, + 471, + 1465, + 527 + ] + }, + { + "text": "Fixed Assets $342,959.98", + "bbox": [ + 161, + 524, + 1466, + 580 + ] + }, + { + "text": "Pending Liabilities $56,705.66", + "bbox": [ + 162, + 577, + 1467, + 634 + ] + }, + { + "text": "Debt Instruments $167,399.34", + "bbox": [ + 163, + 631, + 1468, + 687 + ] + }, + { + "text": "Ordinary Shares $289,759.52", + "bbox": [ + 164, + 684, + 1470, + 740 + ] + }, + { + "text": "Income $263,894.54", + "bbox": [ + 165, + 738, + 1471, + 794 + ] + }, + { + "text": "Compensation Costs $135,177.73", + "bbox": [ + 166, + 791, + 1472, + 847 + ] + }, + { + "text": "Lease and Operational Costs $23,624.76", + "bbox": [ + 168, + 845, + 1473, + 901 + ] + }, + { + "text": "Final Balanced Total $1,512,997.67", + "bbox": [ + 252, + 901, + 1474, + 955 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1769/1769_dirty_4.json b/new_type_trial_balance/1769/1769_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..e0c69ee983d72d7117a98dab1cd7d753f910f842 --- /dev/null +++ b/new_type_trial_balance/1769/1769_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1769_dirty_4.png", + "labels": [ + { + "text": "Moss-Brock", + "bbox": [ + 155, + 182, + 406, + 231 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $128,877.95", + "bbox": [ + 159, + 367, + 1464, + 421 + ] + }, + { + "text": "Outstanding Receivables $34,197.61", + "bbox": [ + 160, + 419, + 1465, + 473 + ] + }, + { + "text": "Stock on Hand $70,400.58", + "bbox": [ + 161, + 473, + 1466, + 527 + ] + }, + { + "text": "Fixed Assets $342,959.98", + "bbox": [ + 162, + 526, + 1467, + 580 + ] + }, + { + "text": "Pending Liabilities $56,705.66", + "bbox": [ + 163, + 579, + 1468, + 634 + ] + }, + { + "text": "Debt Instruments $167,399.34", + "bbox": [ + 164, + 633, + 1469, + 687 + ] + }, + { + "text": "Ordinary Shares $289,759.52", + "bbox": [ + 165, + 686, + 1470, + 740 + ] 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+ "text": "Outstanding Receivables $34,197.61", + "bbox": [ + 181, + 439, + 1487, + 483 + ] + }, + { + "text": "Stock on Hand $70,400.58", + "bbox": [ + 181, + 493, + 1486, + 537 + ] + }, + { + "text": "Fixed Assets $342,959.98", + "bbox": [ + 180, + 546, + 1486, + 590 + ] + }, + { + "text": "Pending Liabilities $56,705.66", + "bbox": [ + 180, + 599, + 1485, + 644 + ] + }, + { + "text": "Debt Instruments $167,399.34", + "bbox": [ + 179, + 653, + 1484, + 697 + ] + }, + { + "text": "Ordinary Shares $289,759.52", + "bbox": [ + 178, + 706, + 1484, + 750 + ] + }, + { + "text": "Income $263,894.54", + "bbox": [ + 178, + 760, + 1483, + 804 + ] + }, + { + "text": "Compensation Costs $135,177.73", + "bbox": [ + 177, + 813, + 1482, + 857 + ] + }, + { + "text": "Lease and Operational Costs $23,624.76", + "bbox": [ + 177, + 867, + 1482, + 911 + ] + }, + { + "text": "Final Balanced Total $1,512,997.67", + "bbox": [ + 259, + 923, + 1481, + 966 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1769/1769_pdf.json b/new_type_trial_balance/1769/1769_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..120b4f6132f2f59c6dac07058bef0e726fd1b088 --- /dev/null +++ b/new_type_trial_balance/1769/1769_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1769.pdf", + "labels": [ + { + "text": "Moss-Brock", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 152.83016325, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $128,877.95", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.571808, + 152.40670650000004 + ] + }, + { + "text": "Outstanding Receivables $34,197.61", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock on Hand $70,400.58", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.5734077499999, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $342,959.98", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Pending Liabilities $56,705.66", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Debt Instruments $167,399.34", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Ordinary Shares $289,759.52", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Income $263,894.54", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Compensation Costs $135,177.73", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.571808, + 306.25045650000004 + ] + }, + { + "text": "Lease and Operational Costs $23,624.76", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Final Balanced Total $1,512,997.67", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1773/1773.json b/new_type_trial_balance/1773/1773.json new file mode 100644 index 0000000000000000000000000000000000000000..33064d15fd28c5ef9c38d210bfcbfe6f4978831d --- /dev/null +++ b/new_type_trial_balance/1773/1773.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_1773.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Kelly-Davis", + "bbox_px": [ + 148.53, + 190.5, + 385.45, + 240.39 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $71,418.63", + "bbox_px": [ + 154.14, + 377.42, + 1459.68, + 440.65 + ] + }, + { + "text": "Customer Receivables $67,922.83", + "bbox_px": [ + 155.54, + 430.82, + 1461.08, + 494.05 + ] + }, + { + "text": "Stock on Hand $117,153.56", + "bbox_px": [ + 156.93, + 484.22, + 1462.5, + 547.45 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Assets $71,418.63", + "bbox": [ + 173, + 393, + 1478, + 423 + ] + }, + { + "text": "Customer Receivables $67,922.83", + "bbox": [ + 173, + 446, + 1478, + 476 + ] + }, + { + "text": "Stock on Hand $117,153.56", + "bbox": [ + 173, + 500, + 1478, + 530 + ] + }, + { + "text": "Fixed Assets and Property $312,677.80", + "bbox": [ + 173, + 553, + 1478, + 583 + ] + }, + { + "text": "Vendor Payables $51,064.03", + "bbox": [ + 173, + 606, + 1478, + 637 + ] + }, + { + "text": "Debt Notes Payable $232,051.58", + "bbox": [ + 173, + 660, + 1478, + 690 + ] + }, + { + "text": "Ordinary Shares $235,123.39", + "bbox": [ + 173, + 713, + 1478, + 743 + ] + }, + { + "text": "Income $258,004.20", + "bbox": [ + 173, + 767, + 1478, + 797 + ] + }, + { + "text": "Compensation Expense $112,294.20", + "bbox": [ + 173, + 820, + 1478, + 850 + ] + }, + { + "text": "Lease and Utility Costs $47,563.43", + "bbox": [ + 173, + 874, + 1478, + 904 + ] + }, + { + "text": "Adjusted Balance Total $1,505,273.65", + "bbox": [ + 256, + 929, + 1478, + 959 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1773/1773_dirty_2.json b/new_type_trial_balance/1773/1773_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..c6fc8d81c0c6b6342c26fab849c84a80921d4946 --- /dev/null +++ b/new_type_trial_balance/1773/1773_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1773_dirty_2.png", + "labels": [ + { + "text": "Kelly-Davis", + "bbox": [ + 160, + 179, + 397, + 226 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $71,418.63", + "bbox": [ + 163, + 385, + 1468, + 431 + ] + }, + { + "text": "Customer Receivables $67,922.83", + "bbox": [ + 164, + 438, + 1469, + 484 + ] + }, + { + "text": "Stock on Hand $117,153.56", + "bbox": [ + 165, + 492, + 1470, + 538 + ] + }, + { + "text": "Fixed Assets and Property $312,677.80", + "bbox": [ + 165, + 545, + 1471, + 591 + ] + }, + { + "text": "Vendor Payables $51,064.03", + "bbox": [ + 166, + 598, + 1471, + 645 + ] + }, + { + "text": "Debt Notes Payable $232,051.58", + "bbox": [ + 167, + 652, + 1472, + 698 + ] + }, + { + "text": "Ordinary Shares $235,123.39", + "bbox": [ + 167, + 705, + 1473, + 751 + ] + }, + { + "text": "Income $258,004.20", + "bbox": [ + 168, + 759, + 1473, + 805 + ] + }, + { + "text": "Compensation Expense $112,294.20", + "bbox": [ + 169, + 812, + 1474, + 858 + ] + }, + { + "text": "Lease and Utility Costs $47,563.43", + "bbox": [ + 170, + 866, + 1475, + 912 + ] + }, + { + "text": "Adjusted Balance Total $1,505,273.65", + "bbox": [ + 253, + 921, + 1476, + 966 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1773/1773_dirty_3.json b/new_type_trial_balance/1773/1773_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..7ca24bd2c9b3e1646e53c7c380bdf65c2a92291a --- /dev/null +++ b/new_type_trial_balance/1773/1773_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1773_dirty_3.png", + "labels": [ + { + "text": "Kelly-Davis", + "bbox": [ + 164, + 180, + 400, + 226 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $71,418.63", + "bbox": [ + 166, + 376, + 1471, + 418 + ] + }, + { + "text": "Customer Receivables $67,922.83", + "bbox": [ + 167, + 429, + 1472, + 471 + ] + }, + { + "text": "Stock on Hand $117,153.56", + "bbox": [ + 167, + 483, + 1472, + 525 + ] + }, + { + "text": "Fixed Assets and Property $312,677.80", + "bbox": [ + 168, + 536, + 1473, + 578 + ] + }, + { + "text": "Vendor Payables $51,064.03", + "bbox": [ + 168, + 589, + 1473, + 632 + ] + }, + { + "text": "Debt Notes Payable $232,051.58", + "bbox": [ + 169, + 643, + 1474, + 685 + ] + }, + { + "text": "Ordinary Shares $235,123.39", + "bbox": [ + 169, + 696, + 1474, + 738 + ] + }, + { + "text": "Income $258,004.20", + "bbox": [ + 170, + 750, + 1475, + 792 + ] + }, + { + "text": "Compensation Expense $112,294.20", + "bbox": [ + 170, + 803, + 1475, + 845 + ] + }, + { + "text": "Lease and Utility Costs $47,563.43", + "bbox": [ + 171, + 857, + 1476, + 899 + ] + }, + { + "text": "Adjusted Balance Total $1,505,273.65", + "bbox": [ + 254, + 912, + 1476, + 953 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1773/1773_dirty_4.json b/new_type_trial_balance/1773/1773_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..d66698319a274dcb23867503cf2dd83f3c8ce64a --- /dev/null +++ b/new_type_trial_balance/1773/1773_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1773_dirty_4.png", + "labels": [ + { + "text": "Kelly-Davis", + "bbox": [ + 160, + 189, + 397, + 236 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $71,418.63", + "bbox": [ + 163, + 385, + 1468, + 431 + ] + }, + { + "text": "Customer Receivables $67,922.83", + "bbox": [ + 164, + 438, + 1469, + 484 + ] + }, + { + "text": "Stock on Hand $117,153.56", + "bbox": [ + 165, + 492, + 1470, + 538 + ] + }, + { + "text": "Fixed Assets and Property $312,677.80", + "bbox": [ + 165, + 545, + 1471, + 591 + ] + }, + { + "text": "Vendor Payables $51,064.03", + "bbox": [ + 166, + 598, + 1471, + 645 + ] + }, + { + "text": "Debt Notes Payable $232,051.58", + "bbox": [ + 167, + 652, + 1472, + 698 + ] + }, + { + "text": "Ordinary Shares $235,123.39", + "bbox": [ + 167, + 705, + 1473, + 751 + ] + }, + { + "text": "Income $258,004.20", + "bbox": [ + 168, + 759, + 1473, + 805 + ] + }, + { + "text": "Compensation Expense $112,294.20", + "bbox": [ + 169, + 812, + 1474, + 858 + ] + }, + { + "text": "Lease and Utility Costs $47,563.43", + "bbox": [ + 170, + 866, + 1475, + 912 + ] + }, + { + "text": "Adjusted Balance Total $1,505,273.65", + "bbox": [ + 253, + 921, + 1476, + 966 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1773/1773_dirty_5.json b/new_type_trial_balance/1773/1773_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..4b0ab851feb2ea0427eee440bbb139c9bf7f7d02 --- /dev/null +++ b/new_type_trial_balance/1773/1773_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1773_dirty_5.png", + "labels": [ + { + "text": "Kelly-Davis", + "bbox": [ + 171, + 176, + 407, + 221 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $71,418.63", + "bbox": [ + 172, + 392, + 1477, + 424 + ] + }, + { + "text": "Customer Receivables $67,922.83", + "bbox": [ + 172, + 445, + 1477, + 477 + ] + }, + { + "text": "Stock on Hand $117,153.56", + "bbox": [ + 172, + 499, + 1477, + 531 + ] + }, + { + "text": "Fixed Assets and Property $312,677.80", + "bbox": [ + 172, + 552, + 1477, + 584 + ] + }, + { + "text": "Vendor Payables $51,064.03", + "bbox": [ + 172, + 605, + 1477, + 638 + ] + }, + { + "text": "Debt Notes Payable $232,051.58", + "bbox": [ + 172, + 659, + 1477, + 691 + ] + }, + { + "text": "Ordinary Shares $235,123.39", + "bbox": [ + 173, + 712, + 1478, + 744 + ] + }, + { + "text": "Income $258,004.20", + "bbox": [ + 173, + 766, + 1478, + 798 + ] + }, + { + "text": "Compensation Expense $112,294.20", + "bbox": [ + 173, + 819, + 1478, + 851 + ] + }, + { + "text": "Lease and Utility Costs $47,563.43", + "bbox": [ + 173, + 873, + 1478, + 905 + ] + }, + { + "text": "Adjusted Balance Total $1,505,273.65", + "bbox": [ + 256, + 928, + 1478, + 960 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1773/1773_pdf.json b/new_type_trial_balance/1773/1773_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..f3557e44e02603493410d46bfdb7f69f39858d8d --- /dev/null +++ b/new_type_trial_balance/1773/1773_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1773.pdf", + "labels": [ + { + "text": "Kelly-Davis", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 147.60116325, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $71,418.63", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.5734077499999, + 152.40670650000004 + ] + }, + { + "text": "Customer Receivables $67,922.83", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock on Hand $117,153.56", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.58460525, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets and Property $312,677.80", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Vendor Payables $51,064.03", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Debt Notes Payable $232,051.58", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Ordinary Shares $235,123.39", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Income $258,004.20", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Compensation Expense $112,294.20", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.58460525, + 306.25045650000004 + ] + }, + { + "text": "Lease and Utility Costs $47,563.43", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Adjusted Balance Total $1,505,273.65", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1807/1807.json b/new_type_trial_balance/1807/1807.json new file mode 100644 index 0000000000000000000000000000000000000000..73c464e6b060ac3bca0df9354027a3d5df987b54 --- /dev/null +++ b/new_type_trial_balance/1807/1807.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_1807.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Williams, Garcia and Crosby", + "bbox_px": [ + 169.06, + 179.61, + 759.78, + 226.4 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $58,767.38", + "bbox_px": [ + 170.17, + 390.84, + 1475.53, + 426.72 + ] + }, + { + "text": "Customer Receivables $55,870.78", + "bbox_px": [ + 170.44, + 444.26, + 1475.8, + 480.14 + ] + }, + { + "text": "Stock on Hand $67,474.77", + "bbox_px": [ + 170.72, + 497.67, + 1476.08, + 533.55 + ] + }, + { + "text": "Fixed Assets $212,311.46", + "bbox_px": [ + 170.99, + 551.09, + 1476.38, + 586.97 + ] + }, + { + "text": "Vendor Payables $20,889.91", + "bbox_px": [ + 171.27, + 604.51, + 1476.63, + 640.39 + ] + }, + { + "text": "Debts Due $228,388.15", + "bbox_px": [ + 171.54, + 657.93, + 1476.9, + 693.81 + ] + }, + { + "text": "Share Capital $335,074.34", + "bbox_px": [ + 171.82, + 711.34, + 1477.17, + 747.22 + ] + }, + { + "text": "Income $442,582.07", + "bbox_px": [ + 172.09, + 764.76, + 1477.45, + 800.64 + ] + }, + { + "text": "Personnel Costs $154,500.85", + "bbox_px": [ + 172.37, + 818.18, + 1477.72, + 854.06 + ] + }, + { + "text": "Lease and Services Expenses $41,963.81", + "bbox_px": [ + 172.64, + 871.6, + 1478.0, + 907.48 + ] + }, + { + "text": "Final Adjusted Total $1,617,823.52", + "bbox_px": [ + 256.26, + 927.1, + 1478.28, + 962.55 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1807/1807.pdf b/new_type_trial_balance/1807/1807.pdf new file mode 100644 index 0000000000000000000000000000000000000000..f93a0a47fa8ecdfc1fb48797c40cc2a78ae62500 Binary files /dev/null and b/new_type_trial_balance/1807/1807.pdf differ diff --git a/new_type_trial_balance/1807/1807.xlsx b/new_type_trial_balance/1807/1807.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..e97f4c875367497f74998d223f1b41386b70bea4 Binary files /dev/null and b/new_type_trial_balance/1807/1807.xlsx differ diff --git a/new_type_trial_balance/1807/1807_dirty_1.json 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"text": "Share Capital $335,074.34", + "bbox": [ + 171, + 710, + 1476, + 746 + ] + }, + { + "text": "Income $442,582.07", + "bbox": [ + 171, + 764, + 1476, + 800 + ] + }, + { + "text": "Personnel Costs $154,500.85", + "bbox": [ + 172, + 817, + 1477, + 853 + ] + }, + { + "text": "Lease and Services Expenses $41,963.81", + "bbox": [ + 172, + 871, + 1477, + 907 + ] + }, + { + "text": "Final Adjusted Total $1,617,823.52", + "bbox": [ + 255, + 926, + 1477, + 962 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1807/1807_dirty_2.json b/new_type_trial_balance/1807/1807_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..4565bcde5e073e8afbd58634b63fe17e0ffd1b2a --- /dev/null +++ b/new_type_trial_balance/1807/1807_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1807_dirty_2.png", + "labels": [ + { + "text": "Williams, Garcia and Crosby", + "bbox": [ + 159, + 180, + 749, + 232 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $58,767.38", + "bbox": [ + 162, + 384, + 1467, + 432 + ] + }, + { + "text": "Customer Receivables $55,870.78", + "bbox": [ + 163, + 437, + 1468, + 485 + ] + }, + { + "text": "Stock on Hand $67,474.77", + "bbox": [ + 164, + 491, + 1469, + 539 + ] + }, + { + "text": "Fixed Assets $212,311.46", + "bbox": [ + 164, + 544, + 1470, + 592 + ] + }, + { + "text": "Vendor Payables $20,889.91", + "bbox": [ + 165, + 597, + 1470, + 646 + ] + }, + { + "text": "Debts Due $228,388.15", + "bbox": [ + 166, + 651, + 1471, + 699 + ] + }, + { + "text": "Share Capital $335,074.34", + "bbox": [ + 167, + 704, + 1472, + 752 + ] + }, + { + "text": "Income $442,582.07", + "bbox": [ + 168, + 758, + 1473, + 806 + ] + }, + { + "text": "Personnel Costs $154,500.85", + "bbox": [ + 168, + 811, + 1474, + 859 + ] + }, + { + "text": "Lease and Services Expenses $41,963.81", + "bbox": [ + 169, + 865, + 1474, + 913 + ] + }, + { + "text": "Final Adjusted Total $1,617,823.52", + "bbox": [ + 253, + 920, + 1475, + 967 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1807/1807_dirty_3.json b/new_type_trial_balance/1807/1807_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..f8e0eacd1d8592737bbbbdbaec7a689b0160f0e3 --- /dev/null +++ b/new_type_trial_balance/1807/1807_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1807_dirty_3.png", + "labels": [ + { + "text": "Williams, Garcia and Crosby", + "bbox": [ + 167, + 179, + 757, + 227 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $58,767.38", + "bbox": [ + 168, + 389, + 1474, + 427 + ] + }, + { + "text": "Customer Receivables $55,870.78", + "bbox": [ + 169, + 442, + 1474, + 480 + ] + }, + { + "text": "Stock on Hand $67,474.77", + "bbox": [ + 169, + 496, + 1474, + 534 + ] + }, + { + "text": "Fixed Assets $212,311.46", + "bbox": [ + 170, + 549, + 1475, + 587 + ] + }, + { + "text": "Vendor Payables $20,889.91", + "bbox": [ + 170, + 602, + 1475, + 641 + ] + }, + { + "text": "Debts Due $228,388.15", + "bbox": [ + 170, + 656, + 1475, + 694 + ] + }, + { + "text": "Share Capital $335,074.34", + "bbox": [ + 171, + 709, + 1476, + 747 + ] + }, + { + "text": "Income $442,582.07", + "bbox": [ + 171, + 763, + 1476, + 801 + ] + }, + { + "text": "Personnel Costs $154,500.85", + "bbox": [ + 171, + 816, + 1476, + 854 + ] + }, + { + "text": "Lease and Services Expenses $41,963.81", + "bbox": [ + 172, + 870, + 1477, + 908 + ] + }, + { + "text": "Final Adjusted Total $1,617,823.52", + "bbox": [ + 255, + 925, + 1477, + 962 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1807/1807_dirty_4.json b/new_type_trial_balance/1807/1807_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..0286d181c1b4b150af7214f24f7df47a933d417d --- /dev/null +++ b/new_type_trial_balance/1807/1807_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1807_dirty_4.png", + "labels": [ + { + "text": "Williams, Garcia and Crosby", + "bbox": [ + 191, + 166, + 781, + 221 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $58,767.38", + "bbox": [ + 187, + 382, + 1492, + 434 + ] + }, + { + "text": "Customer Receivables $55,870.78", + "bbox": [ + 186, + 435, + 1491, + 487 + ] + }, + { + "text": "Stock on Hand $67,474.77", + "bbox": [ + 185, + 489, + 1490, + 541 + ] + }, + { + "text": "Fixed Assets $212,311.46", + "bbox": [ + 184, + 542, + 1489, + 594 + ] + }, + { + "text": "Vendor Payables $20,889.91", + "bbox": [ + 183, + 595, + 1488, + 648 + ] + }, + { + "text": "Debts Due $228,388.15", + "bbox": [ + 182, + 649, + 1487, + 701 + ] + }, + { + "text": "Share Capital $335,074.34", + "bbox": [ + 181, + 702, + 1487, + 754 + ] + }, + { + "text": "Income $442,582.07", + "bbox": [ + 180, + 756, + 1486, + 808 + ] + }, + { + "text": "Personnel Costs $154,500.85", + "bbox": [ + 179, + 809, + 1485, + 861 + ] + }, + { + "text": "Lease and Services Expenses $41,963.81", + "bbox": [ + 178, + 863, + 1484, + 915 + ] + }, + { + "text": "Final Adjusted Total $1,617,823.52", + "bbox": [ + 260, + 919, + 1483, + 970 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1807/1807_dirty_5.json b/new_type_trial_balance/1807/1807_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..3c33798c6fa56afbac7e668b002fa7d166370883 --- /dev/null +++ b/new_type_trial_balance/1807/1807_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1807_dirty_5.png", + "labels": [ + { + "text": "Williams, Garcia and Crosby", + "bbox": [ + 172, + 179, + 762, + 224 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $58,767.38", + "bbox": [ + 172, + 392, + 1477, + 424 + ] + }, + { + "text": "Customer Receivables $55,870.78", + "bbox": [ + 172, + 445, + 1477, + 477 + ] + }, + { + "text": "Stock on Hand $67,474.77", + "bbox": [ + 172, + 499, + 1477, + 531 + ] + }, + { + "text": "Fixed Assets $212,311.46", + "bbox": [ + 173, + 552, + 1478, + 584 + ] + }, + { + "text": "Vendor Payables $20,889.91", + "bbox": [ + 173, + 605, + 1478, + 638 + ] + }, + { + "text": "Debts Due $228,388.15", + "bbox": [ + 173, + 659, + 1478, + 691 + ] + }, + { + "text": "Share Capital $335,074.34", + "bbox": [ + 173, + 712, + 1478, + 744 + ] + }, + { + "text": "Income $442,582.07", + "bbox": [ + 173, + 766, + 1478, + 798 + ] + }, + { + "text": "Personnel Costs $154,500.85", + "bbox": [ + 173, + 819, + 1478, + 851 + ] + }, + { + "text": "Lease and Services Expenses $41,963.81", + "bbox": [ + 173, + 873, + 1478, + 905 + ] + }, + { + "text": "Final Adjusted Total $1,617,823.52", + "bbox": [ + 256, + 928, + 1478, + 959 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1807/1807_pdf.json b/new_type_trial_balance/1807/1807_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..cd745e73e44304a175626af857111a5d2b3fca3d --- /dev/null +++ b/new_type_trial_balance/1807/1807_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1807.pdf", + "labels": [ + { + "text": "Williams, Garcia and Crosby", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 275.27066325000004, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $58,767.38", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.5734077499999, + 152.40670650000004 + ] + }, + { + "text": "Customer Receivables $55,870.78", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock on Hand $67,474.77", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.5734077499999, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $212,311.46", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.58460525, + 210.09811275000004 + ] + }, + { + "text": "Vendor Payables $20,889.91", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Debts Due $228,388.15", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Share Capital $335,074.34", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Income $442,582.07", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Personnel Costs $154,500.85", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.571808, + 306.25045650000004 + ] + }, + { + "text": "Lease and Services Expenses $41,963.81", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Final Adjusted Total $1,617,823.52", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1836/1836.json b/new_type_trial_balance/1836/1836.json new file mode 100644 index 0000000000000000000000000000000000000000..488a5c38fbb0f977689a142e4642217da0ce184f --- /dev/null +++ b/new_type_trial_balance/1836/1836.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_1836.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Williams-Herrera", + "bbox_px": [ + 194.21, + 165.75, + 542.39, + 216.8 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $119,614.01", + "bbox_px": [ + 190.0, + 380.61, + 1495.57, + 437.26 + ] + }, + { + "text": "Trade Receivables $57,495.42", + "bbox_px": [ + 188.87, + 434.01, + 1494.42, + 490.66 + ] + }, + { + "text": "Merchandise Inventory $90,583.14", + "bbox_px": [ + 187.75, + 487.42, + 1493.29, + 544.07 + ] + }, + { + "text": "Fixed Assets $472,228.82", + "bbox_px": [ + 186.62, + 540.83, + 1492.16, + 597.47 + ] + }, + { + "text": "Trade Payables $28,776.82", + "bbox_px": [ + 185.5, + 594.23, + 1491.04, + 650.88 + ] + }, + { + "text": "Borrowings $179,998.85", + "bbox_px": [ + 184.37, + 647.64, + 1489.91, + 704.29 + ] + }, + { + "text": "Ordinary Shares $271,321.58", + "bbox_px": [ + 183.25, + 701.04, + 1488.79, + 757.69 + ] + }, + { + "text": "Sales Revenue $515,292.83", + "bbox_px": [ + 182.12, + 754.45, + 1487.66, + 811.1 + ] + }, + { + "text": "Personnel Costs $71,068.07", + "bbox_px": [ + 181.0, + 807.86, + 1486.54, + 864.51 + ] + }, + { + "text": "Operating Expenses $38,124.86", + "bbox_px": [ + 179.87, + 861.26, + 1485.42, + 917.91 + ] + }, + { + "text": "Net Adjusted Balance $1,844,504.40", + "bbox_px": [ + 262.02, + 918.51, + 1484.25, + 973.4 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1836/1836.pdf b/new_type_trial_balance/1836/1836.pdf new file mode 100644 index 0000000000000000000000000000000000000000..773b61af15b1d6833f15647e9fd2d32c12f317f9 Binary files /dev/null and b/new_type_trial_balance/1836/1836.pdf differ diff --git a/new_type_trial_balance/1836/1836.xlsx b/new_type_trial_balance/1836/1836.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..4994a593e0969453cd3e9d824c211c34050d2926 Binary files /dev/null and b/new_type_trial_balance/1836/1836.xlsx differ diff --git a/new_type_trial_balance/1836/1836_dirty_1.json b/new_type_trial_balance/1836/1836_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..a51cc83b098f1653a3e830d6c1e5232a482fec68 --- /dev/null +++ b/new_type_trial_balance/1836/1836_dirty_1.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1836_dirty_1.png", + "labels": [ + { + "text": "Williams-Herrera", + "bbox": [ + 165, + 181, + 513, + 228 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $119,614.01", + "bbox": [ + 167, + 388, + 1472, + 428 + ] + }, + { + "text": "Trade Receivables $57,495.42", + "bbox": [ + 167, + 441, + 1473, + 481 + ] + }, + { + "text": "Merchandise Inventory $90,583.14", + "bbox": [ + 168, + 495, + 1473, + 535 + ] + }, + { + "text": "Fixed Assets $472,228.82", + "bbox": [ + 168, + 548, + 1474, + 588 + ] + }, + { + "text": "Trade Payables $28,776.82", + "bbox": [ + 169, + 601, + 1474, + 642 + ] + }, + { + "text": "Borrowings $179,998.85", + "bbox": [ + 169, + 655, + 1474, + 695 + ] + }, + { + "text": "Ordinary Shares $271,321.58", + "bbox": [ + 170, + 708, + 1475, + 748 + ] + }, + { + "text": "Sales Revenue $515,292.83", + "bbox": [ + 170, + 762, + 1475, + 802 + ] + }, + { + "text": "Personnel Costs $71,068.07", + "bbox": [ + 171, + 815, + 1476, + 855 + ] + }, + { + "text": "Operating Expenses $38,124.86", + "bbox": [ + 171, + 869, + 1476, + 909 + ] + }, + { + "text": "Net Adjusted Balance $1,844,504.40", + "bbox": [ + 255, + 924, + 1477, + 963 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1836/1836_dirty_2.json b/new_type_trial_balance/1836/1836_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..74e985df3bbbde606e96e7a30397c7ccd62e1f18 --- /dev/null +++ b/new_type_trial_balance/1836/1836_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1836_dirty_2.png", + "labels": [ + { + "text": "Williams-Herrera", + "bbox": [ + 192, + 166, + 540, + 217 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $119,614.01", + "bbox": [ + 188, + 381, + 1494, + 436 + ] + }, + { + "text": "Trade Receivables $57,495.42", + "bbox": [ + 187, + 434, + 1493, + 488 + ] + }, + { + "text": "Merchandise Inventory $90,583.14", + "bbox": [ + 186, + 488, + 1492, + 542 + ] + }, + { + "text": "Fixed Assets $472,228.82", + "bbox": [ + 185, + 541, + 1491, + 595 + ] + }, + { + "text": "Trade Payables $28,776.82", + "bbox": [ + 184, + 594, + 1489, + 649 + ] + }, + { + "text": "Borrowings $179,998.85", + "bbox": [ + 183, + 648, + 1488, + 702 + ] + }, + { + "text": "Ordinary Shares $271,321.58", + "bbox": [ + 182, + 701, + 1487, + 755 + ] + }, + { + "text": "Sales Revenue $515,292.83", + "bbox": [ + 181, + 755, + 1486, + 809 + ] + }, + { + "text": "Personnel Costs $71,068.07", + "bbox": [ + 180, + 808, + 1485, + 862 + ] + }, + { + "text": "Operating Expenses $38,124.86", + "bbox": [ + 179, + 862, + 1484, + 916 + ] + }, + { + "text": "Net Adjusted Balance $1,844,504.40", + "bbox": [ + 261, + 918, + 1483, + 971 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1836/1836_dirty_3.json b/new_type_trial_balance/1836/1836_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..4218ea4a4ffdf30d833be7caae216813528a538f --- /dev/null +++ b/new_type_trial_balance/1836/1836_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1836_dirty_3.png", + "labels": [ + { + "text": "Williams-Herrera", + "bbox": [ + 183, + 172, + 531, + 219 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $119,614.01", + "bbox": [ + 181, + 387, + 1486, + 429 + ] + }, + { + "text": "Trade Receivables $57,495.42", + "bbox": [ + 181, + 440, + 1486, + 482 + ] + }, + { + "text": "Merchandise Inventory $90,583.14", + "bbox": [ + 180, + 494, + 1485, + 536 + ] + }, + { + "text": "Fixed Assets $472,228.82", + "bbox": [ + 179, + 547, + 1485, + 589 + ] + }, + { + "text": "Trade Payables $28,776.82", + "bbox": [ + 179, + 600, + 1484, + 643 + ] + }, + { + "text": "Borrowings $179,998.85", + "bbox": [ + 178, + 654, + 1484, + 696 + ] + }, + { + "text": "Ordinary Shares $271,321.58", + "bbox": [ + 178, + 707, + 1483, + 749 + ] + }, + { + "text": "Sales Revenue $515,292.83", + "bbox": [ + 177, + 761, + 1483, + 803 + ] + }, + { + "text": "Personnel Costs $71,068.07", + "bbox": [ + 177, + 814, + 1482, + 856 + ] + }, + { + "text": "Operating Expenses $38,124.86", + "bbox": [ + 176, + 868, + 1481, + 910 + ] + }, + { + "text": "Net Adjusted Balance $1,844,504.40", + "bbox": [ + 259, + 924, + 1481, + 965 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1836/1836_dirty_4.json b/new_type_trial_balance/1836/1836_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..3c25669a7dbab3f6d8164f581a16137a92794b26 --- /dev/null +++ b/new_type_trial_balance/1836/1836_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1836_dirty_4.png", + "labels": [ + { + "text": "Williams-Herrera", + "bbox": [ + 185, + 171, + 532, + 219 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $119,614.01", + "bbox": [ + 182, + 386, + 1488, + 430 + ] + }, + { + "text": "Trade Receivables $57,495.42", + "bbox": [ + 182, + 439, + 1487, + 483 + ] + }, + { + "text": "Merchandise Inventory $90,583.14", + "bbox": [ + 181, + 493, + 1486, + 537 + ] + }, + { + "text": "Fixed Assets $472,228.82", + "bbox": [ + 181, + 546, + 1486, + 590 + ] + }, + { + "text": "Trade Payables $28,776.82", + "bbox": [ + 180, + 599, + 1485, + 644 + ] + }, + { + "text": "Borrowings $179,998.85", + "bbox": [ + 179, + 653, + 1485, + 697 + ] + }, + { + "text": "Ordinary Shares $271,321.58", + "bbox": [ + 179, + 706, + 1484, + 750 + ] + }, + { + "text": "Sales Revenue $515,292.83", + "bbox": [ + 178, + 760, + 1483, + 804 + ] + }, + { + "text": "Personnel Costs $71,068.07", + "bbox": [ + 177, + 813, + 1483, + 857 + ] + }, + { + "text": "Operating Expenses $38,124.86", + "bbox": [ + 177, + 867, + 1482, + 911 + ] + }, + { + "text": "Net Adjusted Balance $1,844,504.40", + "bbox": [ + 259, + 923, + 1481, + 966 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1836/1836_dirty_5.json b/new_type_trial_balance/1836/1836_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..fa90078a2207bb3f368ec890f61c4b8fd583c357 --- /dev/null +++ b/new_type_trial_balance/1836/1836_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1836_dirty_5.png", + "labels": [ + { + "text": "Williams-Herrera", + "bbox": [ + 163, + 182, + 511, + 229 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $119,614.01", + "bbox": [ + 166, + 387, + 1471, + 429 + ] + }, + { + "text": "Trade Receivables $57,495.42", + "bbox": [ + 166, + 440, + 1471, + 482 + ] + }, + { + "text": "Merchandise Inventory $90,583.14", + "bbox": [ + 167, + 494, + 1472, + 536 + ] + }, + { + "text": "Fixed Assets $472,228.82", + "bbox": [ + 167, + 547, + 1472, + 589 + ] + }, + { + "text": "Trade Payables $28,776.82", + "bbox": [ + 168, + 600, + 1473, + 643 + ] + }, + { + "text": "Borrowings $179,998.85", + "bbox": [ + 168, + 654, + 1474, + 696 + ] + }, + { + "text": "Ordinary Shares $271,321.58", + "bbox": [ + 169, + 707, + 1474, + 749 + ] + }, + { + "text": "Sales Revenue $515,292.83", + "bbox": [ + 169, + 761, + 1475, + 803 + ] + }, + { + "text": "Personnel Costs $71,068.07", + "bbox": [ + 170, + 814, + 1475, + 856 + ] + }, + { + "text": "Operating Expenses $38,124.86", + "bbox": [ + 171, + 868, + 1476, + 910 + ] + }, + { + "text": "Net Adjusted Balance $1,844,504.40", + "bbox": [ + 254, + 923, + 1476, + 964 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1836/1836_pdf.json b/new_type_trial_balance/1836/1836_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..9823298271592b4b105884dd94bb96466bf1f3d7 --- /dev/null +++ b/new_type_trial_balance/1836/1836_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1836.pdf", + "labels": [ + { + "text": "Williams-Herrera", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 187.73216325000004, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $119,614.01", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.58460525, + 152.40670650000004 + ] + }, + { + "text": "Trade Receivables $57,495.42", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Merchandise Inventory $90,583.14", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.5734077499999, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $472,228.82", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Trade Payables $28,776.82", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Borrowings $179,998.85", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Ordinary Shares $271,321.58", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Sales Revenue $515,292.83", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Personnel Costs $71,068.07", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.5734077499999, + 306.25045650000004 + ] + }, + { + "text": "Operating Expenses $38,124.86", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Net Adjusted Balance $1,844,504.40", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1875/1875.json b/new_type_trial_balance/1875/1875.json new file mode 100644 index 0000000000000000000000000000000000000000..f64811d9b58f002bc791e2c6683c2094c31e9516 --- /dev/null +++ b/new_type_trial_balance/1875/1875.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_1875.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Carey, Adams and Edwards", + "bbox_px": [ + 164.38, + 180.13, + 736.16, + 229.53 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $109,341.88", + "bbox_px": [ + 166.51, + 387.77, + 1471.96, + 429.85 + ] + }, + { + "text": "Trade Receivables $47,976.83", + "bbox_px": [ + 167.04, + 441.18, + 1472.49, + 483.26 + ] + }, + { + "text": "Merchandise Inventory $90,596.34", + "bbox_px": [ + 167.57, + 494.6, + 1473.02, + 536.68 + ] + }, + { + "text": "Fixed Assets $462,072.62", + "bbox_px": [ + 168.1, + 548.01, + 1473.54, + 590.1 + ] + }, + { + "text": "Trade Payables $69,871.13", + "bbox_px": [ + 168.63, + 601.43, + 1474.07, + 643.51 + ] + }, + { + "text": "Debt Obligations $231,253.42", + "bbox_px": [ + 169.15, + 654.84, + 1474.6, + 696.93 + ] + }, + { + "text": "Capital Stock $327,869.56", + "bbox_px": [ + 169.68, + 708.26, + 1475.13, + 750.34 + ] + }, + { + "text": "Sales Revenue $260,212.84", + "bbox_px": [ + 170.21, + 761.68, + 1475.66, + 803.76 + ] + }, + { + "text": "Compensation Expense $142,575.42", + "bbox_px": [ + 170.74, + 815.09, + 1476.18, + 857.17 + ] + }, + { + "text": "Facility Costs $21,122.50", + "bbox_px": [ + 171.27, + 868.51, + 1476.72, + 910.59 + ] + }, + { + "text": "Net Adjusted Balance $1,762,892.54", + "bbox_px": [ + 255.15, + 924.0, + 1477.26, + 965.26 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1875/1875.pdf b/new_type_trial_balance/1875/1875.pdf new file mode 100644 index 0000000000000000000000000000000000000000..344e906040b74dba352bb5ac8d159f6ab9622286 Binary files /dev/null and b/new_type_trial_balance/1875/1875.pdf differ diff --git a/new_type_trial_balance/1875/1875.xlsx b/new_type_trial_balance/1875/1875.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..4772c4a29eefd2625dc0774e3e7d891f3e60e6a8 Binary files /dev/null and b/new_type_trial_balance/1875/1875.xlsx differ diff --git a/new_type_trial_balance/1875/1875_dirty_1.json b/new_type_trial_balance/1875/1875_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..d4dba94992aaac1f2dc1e241608aeb8d78784a48 --- /dev/null +++ b/new_type_trial_balance/1875/1875_dirty_1.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1875_dirty_1.png", + "labels": [ + { + "text": "Carey, Adams and Edwards", + "bbox": [ + 184, + 171, + 756, + 222 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $109,341.88", + "bbox": [ + 182, + 386, + 1487, + 430 + ] + }, + { + "text": "Trade Receivables $47,976.83", + "bbox": [ + 182, + 439, + 1487, + 483 + ] + }, + { + "text": "Merchandise Inventory $90,596.34", + "bbox": [ + 181, + 493, + 1486, + 537 + ] + }, + { + "text": "Fixed Assets $462,072.62", + "bbox": [ + 180, + 546, + 1486, + 590 + ] + }, + { + "text": "Trade Payables $69,871.13", + "bbox": [ + 180, + 599, + 1485, + 644 + ] + }, + { + "text": "Debt Obligations $231,253.42", + "bbox": [ + 179, + 653, + 1484, + 697 + ] + }, + { + "text": "Capital Stock $327,869.56", + "bbox": [ + 178, + 706, + 1484, + 750 + ] + }, + { + "text": "Sales Revenue $260,212.84", + "bbox": [ + 178, + 760, + 1483, + 804 + ] + }, + { + "text": "Compensation Expense $142,575.42", + "bbox": [ + 177, + 813, + 1482, + 857 + ] + }, + { + "text": "Facility Costs $21,122.50", + "bbox": [ + 177, + 867, + 1482, + 911 + ] + }, + { + "text": "Net Adjusted Balance $1,762,892.54", + "bbox": [ + 259, + 923, + 1481, + 966 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1875/1875_dirty_2.json b/new_type_trial_balance/1875/1875_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..8a4a787c44b6d55ec8f43df016f5a9ebfbd16b49 --- /dev/null +++ b/new_type_trial_balance/1875/1875_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1875_dirty_2.png", + "labels": [ + { + "text": "Carey, Adams and Edwards", + "bbox": [ + 175, + 178, + 746, + 222 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $109,341.88", + "bbox": [ + 174, + 393, + 1479, + 423 + ] + }, + { + "text": "Trade Receivables $47,976.83", + "bbox": [ + 174, + 446, + 1479, + 476 + ] + }, + { + "text": "Merchandise Inventory $90,596.34", + "bbox": [ + 174, + 500, + 1479, + 530 + ] + }, + { + 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--- /dev/null +++ b/new_type_trial_balance/1875/1875_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1875_dirty_3.png", + "labels": [ + { + "text": "Carey, Adams and Edwards", + "bbox": [ + 167, + 180, + 738, + 228 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $109,341.88", + "bbox": [ + 168, + 389, + 1473, + 427 + ] + }, + { + "text": "Trade Receivables $47,976.83", + "bbox": [ + 169, + 442, + 1474, + 480 + ] + }, + { + "text": "Merchandise Inventory $90,596.34", + "bbox": [ + 169, + 496, + 1474, + 534 + ] + }, + { + "text": "Fixed Assets $462,072.62", + "bbox": [ + 169, + 549, + 1474, + 587 + ] + }, + { + "text": "Trade Payables $69,871.13", + "bbox": [ + 170, + 602, + 1475, + 641 + ] + }, + { + "text": "Debt Obligations $231,253.42", + "bbox": [ + 170, + 656, + 1475, + 694 + ] + }, + { + "text": "Capital Stock $327,869.56", + "bbox": [ + 170, + 709, + 1476, + 747 + ] + }, + { + "text": "Sales Revenue $260,212.84", + "bbox": [ + 171, + 763, + 1476, + 801 + ] + }, + { + "text": "Compensation Expense $142,575.42", + "bbox": [ + 171, + 816, + 1476, + 854 + ] + }, + { + "text": "Facility Costs $21,122.50", + "bbox": [ + 171, + 870, + 1477, + 908 + ] + }, + { + "text": "Net Adjusted Balance $1,762,892.54", + "bbox": [ + 255, + 925, + 1477, + 962 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1875/1875_dirty_4.json b/new_type_trial_balance/1875/1875_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..a49aaca0615515a5577360c0dcb85b33e4ae3e58 --- /dev/null +++ b/new_type_trial_balance/1875/1875_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1875_dirty_4.png", + "labels": [ + { + "text": "Carey, Adams and Edwards", + "bbox": [ + 177, + 182, + 748, + 228 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $109,341.88", + "bbox": [ + 176, + 401, + 1482, + 435 + ] + }, + { + "text": "Trade Receivables $47,976.83", + "bbox": [ + 176, + 454, + 1481, + 488 + ] + }, + { + "text": "Merchandise Inventory $90,596.34", + "bbox": [ + 176, + 508, + 1481, + 542 + ] + }, + { + "text": "Fixed Assets $462,072.62", + "bbox": [ + 176, + 561, + 1481, + 595 + ] + }, + { + "text": "Trade Payables $69,871.13", + "bbox": [ + 176, + 614, + 1481, + 649 + ] + }, + { + "text": "Debt Obligations $231,253.42", + "bbox": [ + 175, + 668, + 1481, + 702 + ] + }, + { + "text": "Capital Stock $327,869.56", + "bbox": [ + 175, + 721, + 1480, + 755 + ] + }, + { + "text": "Sales Revenue $260,212.84", + "bbox": [ + 175, + 775, + 1480, + 809 + ] + }, + { + "text": "Compensation Expense $142,575.42", + "bbox": [ + 175, + 828, + 1480, + 862 + ] + }, + { + "text": "Facility Costs $21,122.50", + "bbox": [ + 175, + 882, + 1480, + 916 + ] + }, + { + "text": "Net Adjusted Balance $1,762,892.54", + "bbox": [ + 257, + 937, + 1479, + 971 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1875/1875_dirty_5.json b/new_type_trial_balance/1875/1875_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..225def211da231634609e18eaa0bc5d4527efd95 --- /dev/null +++ b/new_type_trial_balance/1875/1875_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1875_dirty_5.png", + "labels": [ + { + "text": "Carey, Adams and Edwards", + "bbox": [ + 192, + 156, + 764, + 211 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $109,341.88", + "bbox": [ + 188, + 365, + 1494, + 419 + ] + }, + { + "text": "Trade Receivables $47,976.83", + "bbox": [ + 187, + 418, + 1493, + 472 + ] + }, + { + "text": "Merchandise Inventory $90,596.34", + "bbox": [ + 186, + 472, + 1492, + 526 + ] + }, + { + "text": "Fixed Assets $462,072.62", + "bbox": [ + 185, + 525, + 1490, + 579 + ] + }, + { + "text": "Trade Payables $69,871.13", + "bbox": [ + 184, + 578, + 1489, + 633 + ] + }, + { + "text": "Debt Obligations $231,253.42", + "bbox": [ + 183, + 632, + 1488, + 686 + ] 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80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $109,341.88", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.571808, + 152.40670650000004 + ] + }, + { + "text": "Trade Receivables $47,976.83", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Merchandise Inventory $90,596.34", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.5734077499999, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $462,072.62", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Trade Payables $69,871.13", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Debt Obligations $231,253.42", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Capital Stock $327,869.56", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Sales Revenue $260,212.84", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Compensation Expense $142,575.42", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.571808, + 306.25045650000004 + ] + }, + { + "text": "Facility Costs $21,122.50", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Net Adjusted Balance $1,762,892.54", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1887/1887.json b/new_type_trial_balance/1887/1887.json new file mode 100644 index 0000000000000000000000000000000000000000..f1ccbb20c2d08a09164e591ee9d169145628a734 --- /dev/null +++ b/new_type_trial_balance/1887/1887.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_1887.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Hendrix LLC", + "bbox_px": [ + 193.72, + 166.08, + 454.65, + 215.16 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $118,674.03", + "bbox_px": [ + 189.6, + 380.94, + 1495.18, + 436.91 + ] + }, + { + "text": "Receivables $49,299.16", + "bbox_px": [ + 188.5, + 434.35, + 1494.05, + 490.32 + ] + }, + { + "text": "Merchandise Inventory $111,782.61", + "bbox_px": [ + 187.41, + 487.75, + 1492.99, + 543.72 + ] + }, + { + "text": "Fixed Assets $310,123.92", + "bbox_px": [ + 186.31, + 541.16, + 1491.85, + 597.13 + ] + }, + { + "text": "Trade Payables $47,148.43", + "bbox_px": [ + 185.21, + 594.57, + 1490.76, + 650.54 + ] + }, + { + "text": "Debt Obligations $175,173.58", + "bbox_px": [ + 184.11, + 647.97, + 1489.66, + 703.94 + ] + }, + { + "text": "Ordinary Shares $158,338.33", + "bbox_px": [ + 183.02, + 701.38, + 1488.56, + 757.35 + ] + }, + { + "text": "Sales Revenue $522,948.56", + "bbox_px": [ + 181.92, + 754.79, + 1487.46, + 810.76 + ] + }, + { + "text": "Compensation Expense $93,495.62", + "bbox_px": [ + 180.82, + 808.19, + 1486.37, + 864.16 + ] + }, + { + "text": "Lease and Operating Expenses $24,675.80", + "bbox_px": [ + 179.73, + 861.6, + 1485.27, + 917.57 + ] + }, + { + "text": "Final Adjusted Total $1,611,660.04", + "bbox_px": [ + 261.9, + 918.8, + 1484.13, + 973.06 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1887/1887.pdf b/new_type_trial_balance/1887/1887.pdf new file mode 100644 index 0000000000000000000000000000000000000000..3f930eacf4b22af6b4c60d283201613d9843707f Binary files /dev/null and b/new_type_trial_balance/1887/1887.pdf differ diff --git a/new_type_trial_balance/1887/1887.xlsx b/new_type_trial_balance/1887/1887.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..561ce8eb63fca98fcbc420136984003a22c4c544 Binary files /dev/null and b/new_type_trial_balance/1887/1887.xlsx differ diff --git a/new_type_trial_balance/1887/1887_dirty_1.json b/new_type_trial_balance/1887/1887_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..55140d1f9db343ff7a50d56658ac484b4c7f4272 --- /dev/null +++ b/new_type_trial_balance/1887/1887_dirty_1.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1887_dirty_1.png", + "labels": [ + { + "text": "Hendrix LLC", + "bbox": [ + 183, + 168, + 444, + 214 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $118,674.03", + "bbox": [ + 181, + 387, + 1487, + 429 + ] + }, + { + "text": "Receivables $49,299.16", + "bbox": [ + 181, + 440, + 1486, + 482 + ] + }, + { + "text": "Merchandise Inventory $111,782.61", + "bbox": [ + 180, + 494, + 1485, + 536 + ] + }, + { + "text": "Fixed Assets $310,123.92", + "bbox": [ + 180, + 547, + 1485, + 589 + ] + }, + { + "text": "Trade Payables $47,148.43", + "bbox": [ + 179, + 600, + 1484, + 643 + ] + }, + { + "text": "Debt Obligations $175,173.58", + "bbox": [ + 179, + 654, + 1484, + 696 + ] + }, + { + "text": "Ordinary Shares $158,338.33", + "bbox": [ + 178, + 707, + 1483, + 749 + ] + }, + { + "text": "Sales Revenue $522,948.56", + "bbox": [ + 177, + 761, + 1483, + 803 + ] + }, + { + "text": "Compensation Expense $93,495.62", + "bbox": [ + 177, + 814, + 1482, + 856 + ] + }, + { + "text": "Lease and Operating Expenses $24,675.80", + "bbox": [ + 176, + 868, + 1482, + 910 + ] + }, + { + "text": "Final Adjusted Total $1,611,660.04", + "bbox": [ + 259, + 924, + 1481, + 965 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1887/1887_dirty_2.json b/new_type_trial_balance/1887/1887_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..1f378e30fe028bb6af9c133b0069506ea590ed0e --- /dev/null +++ b/new_type_trial_balance/1887/1887_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1887_dirty_2.png", + "labels": [ + { + "text": "Hendrix LLC", + "bbox": [ + 177, + 179, + 437, + 224 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $118,674.03", + "bbox": [ + 176, + 391, + 1481, + 425 + ] + }, + { + "text": "Receivables $49,299.16", + "bbox": [ + 176, + 444, + 1481, + 478 + ] + }, + { + "text": "Merchandise Inventory $111,782.61", + "bbox": [ + 176, + 498, + 1481, + 532 + ] + }, + { + "text": "Fixed Assets $310,123.92", + "bbox": [ + 176, + 551, + 1481, + 585 + ] + }, + { + "text": "Trade Payables $47,148.43", + "bbox": [ + 175, + 604, + 1481, + 639 + ] + }, + { + "text": "Debt Obligations $175,173.58", + "bbox": [ + 175, + 658, + 1480, + 692 + ] + }, + { + "text": "Ordinary Shares $158,338.33", + "bbox": [ + 175, + 711, + 1480, + 745 + ] + }, + { + "text": "Sales Revenue $522,948.56", + "bbox": [ + 175, + 765, + 1480, + 799 + ] + }, + { + "text": "Compensation Expense $93,495.62", + "bbox": [ + 175, + 818, + 1480, + 852 + ] + }, + { + "text": "Lease and Operating Expenses $24,675.80", + "bbox": [ + 174, + 872, + 1480, + 906 + ] + }, + { + "text": "Final Adjusted Total $1,611,660.04", + "bbox": [ + 257, + 927, + 1479, + 961 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1887/1887_dirty_3.json b/new_type_trial_balance/1887/1887_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..1ace74651d04a6818d08d5dd9545dd0f49c44ffd --- /dev/null +++ b/new_type_trial_balance/1887/1887_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1887_dirty_3.png", + "labels": [ + { + "text": "Hendrix LLC", + "bbox": [ + 184, + 168, + 445, + 215 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $118,674.03", + "bbox": [ + 182, + 379, + 1487, + 423 + ] + }, + { + "text": "Receivables $49,299.16", + "bbox": [ + 181, + 432, + 1486, + 476 + ] + }, + { + "text": "Merchandise Inventory $111,782.61", + "bbox": [ + 181, + 486, + 1486, + 530 + ] + }, + { + "text": "Fixed Assets $310,123.92", + "bbox": [ + 180, + 539, + 1485, + 583 + ] + }, + { + "text": "Trade Payables $47,148.43", + "bbox": [ + 179, + 592, + 1485, + 637 + ] + }, + { + "text": "Debt Obligations $175,173.58", + "bbox": [ + 179, + 646, + 1484, + 690 + ] + }, + { + "text": "Ordinary Shares $158,338.33", + "bbox": [ + 178, + 699, + 1484, + 743 + ] + }, + { + "text": "Sales Revenue $522,948.56", + "bbox": [ + 178, + 753, + 1483, + 797 + ] + }, + { + "text": "Compensation Expense $93,495.62", + "bbox": [ + 177, + 806, + 1482, + 850 + ] + }, + { + "text": "Lease and Operating Expenses $24,675.80", + "bbox": [ + 176, + 860, + 1482, + 904 + ] + }, + { + "text": "Final Adjusted Total $1,611,660.04", + "bbox": [ + 259, + 916, + 1481, + 959 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1887/1887_dirty_4.json b/new_type_trial_balance/1887/1887_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..779b43b0d60d04a758d9ad6d9a8922836b32271f --- /dev/null +++ b/new_type_trial_balance/1887/1887_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1887_dirty_4.png", + "labels": [ + { + "text": "Hendrix LLC", + "bbox": [ + 186, + 164, + 447, + 211 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $118,674.03", + "bbox": [ + 183, + 367, + 1489, + 413 + ] + }, + { + "text": "Receivables $49,299.16", + "bbox": [ + 183, + 420, + 1488, + 466 + ] + }, + { + "text": "Merchandise Inventory $111,782.61", + "bbox": [ + 182, + 474, + 1487, + 520 + ] + }, + { + "text": "Fixed Assets $310,123.92", + "bbox": [ + 181, + 527, + 1486, + 573 + ] + }, + { + "text": "Trade Payables $47,148.43", + "bbox": [ + 181, + 580, + 1486, + 627 + ] + }, + { + "text": "Debt Obligations $175,173.58", + "bbox": [ + 180, + 634, + 1485, + 680 + ] + }, + { + "text": "Ordinary Shares $158,338.33", + "bbox": [ + 179, + 687, + 1484, + 733 + ] + }, + { + "text": "Sales Revenue $522,948.56", + "bbox": [ + 178, + 741, + 1484, + 787 + ] + }, + { + "text": "Compensation Expense $93,495.62", + "bbox": [ + 178, + 794, + 1483, + 840 + ] + }, + { + "text": "Lease and Operating Expenses $24,675.80", + "bbox": [ + 177, + 848, + 1482, + 894 + ] + }, + { + "text": "Final Adjusted Total $1,611,660.04", + "bbox": [ + 259, + 904, + 1482, + 949 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1887/1887_dirty_5.json b/new_type_trial_balance/1887/1887_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..c03a5a046874ee8e22650cfc9131c4798a7be6ef --- /dev/null +++ b/new_type_trial_balance/1887/1887_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1887_dirty_5.png", + "labels": [ + { + "text": "Hendrix LLC", + "bbox": [ + 165, + 185, + 426, + 231 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $118,674.03", + "bbox": [ + 167, + 388, + 1472, + 428 + ] + }, + { + "text": "Receivables $49,299.16", + "bbox": [ + 168, + 441, + 1473, + 481 + ] + }, + { + "text": "Merchandise Inventory $111,782.61", + "bbox": [ + 168, + 495, + 1473, + 535 + ] + }, + { + "text": "Fixed Assets $310,123.92", + "bbox": [ + 168, + 548, + 1474, + 588 + ] + }, + { + "text": "Trade Payables $47,148.43", + "bbox": [ + 169, + 601, + 1474, + 642 + ] + }, + { + "text": "Debt Obligations $175,173.58", + "bbox": [ + 169, + 655, + 1475, + 695 + ] + }, + { + "text": "Ordinary Shares $158,338.33", + "bbox": [ + 170, + 708, + 1475, + 748 + ] + }, + { + "text": "Sales Revenue $522,948.56", + "bbox": [ + 170, + 762, + 1475, + 802 + ] + }, + { + "text": "Compensation Expense $93,495.62", + "bbox": [ + 171, + 815, + 1476, + 855 + ] + }, + { + "text": "Lease and Operating Expenses $24,675.80", + "bbox": [ + 171, + 869, + 1476, + 909 + ] + }, + { + "text": "Final Adjusted Total $1,611,660.04", + "bbox": [ + 255, + 924, + 1477, + 963 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1887/1887_pdf.json 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+ "bbox": [ + 180, + 440, + 1486, + 482 + ] + }, + { + "text": "Stock of Goods $84,046.72", + "bbox": [ + 180, + 494, + 1485, + 536 + ] + }, + { + "text": "Fixed Assets $294,390.59", + "bbox": [ + 179, + 547, + 1485, + 589 + ] + }, + { + "text": "Trade Payables $21,896.07", + "bbox": [ + 179, + 600, + 1484, + 643 + ] + }, + { + "text": "Debt Instruments $222,923.91", + "bbox": [ + 178, + 654, + 1483, + 696 + ] + }, + { + "text": "Ordinary Shares $193,656.92", + "bbox": [ + 178, + 707, + 1483, + 749 + ] + }, + { + "text": "Sales Turnover $418,785.33", + "bbox": [ + 177, + 761, + 1482, + 803 + ] + }, + { + "text": "Personnel Costs $157,874.21", + "bbox": [ + 177, + 814, + 1482, + 856 + ] + }, + { + "text": "Lease and Service Charges $32,007.59", + "bbox": [ + 176, + 868, + 1481, + 910 + ] + }, + { + "text": "Net Adjusted Position $1,565,005.12", + "bbox": [ + 259, + 924, + 1481, + 965 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1903/1903_pdf.json 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62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Trade Payables $21,896.07", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Debt Instruments $222,923.91", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Ordinary Shares $193,656.92", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Sales Turnover $418,785.33", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Personnel Costs $157,874.21", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.571808, + 306.25045650000004 + ] + }, + { + "text": "Lease and Service Charges $32,007.59", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Net Adjusted Position $1,565,005.12", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1930/1930.json b/new_type_trial_balance/1930/1930.json new file mode 100644 index 0000000000000000000000000000000000000000..aef994513aa4b323ea2f3bea01619ff6413d2199 --- /dev/null +++ b/new_type_trial_balance/1930/1930.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_1930.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Carrillo Ltd", + "bbox_px": [ + 184.86, + 171.97, + 418.71, + 218.35 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $143,609.40", + "bbox_px": [ + 182.6, + 386.87, + 1488.07, + 430.76 + ] + }, + { + "text": "Trade Receivables $88,255.37", + "bbox_px": [ + 182.0, + 440.28, + 1487.47, + 484.18 + ] + }, + { + "text": "Merchandise Inventory $92,460.94", + "bbox_px": [ + 181.4, + 493.7, + 1486.87, + 537.59 + ] + }, + { + "text": "Fixed Assets $453,366.09", + "bbox_px": [ + 180.79, + 547.11, + 1486.26, + 591.01 + ] + }, + { + "text": "Trade Payables $39,712.23", + "bbox_px": [ + 180.19, + 600.53, + 1485.66, + 644.42 + ] + }, + { + "text": "Debt Obligations $231,507.30", + "bbox_px": [ + 179.59, + 653.94, + 1485.05, + 697.83 + ] + }, + { + "text": "Ordinary Shares $188,991.50", + "bbox_px": [ + 178.99, + 707.35, + 1484.45, + 751.25 + ] + }, + { + "text": "Sales Revenue $436,349.41", + "bbox_px": [ + 178.38, + 760.77, + 1483.85, + 804.66 + ] + }, + { + "text": "Personnel Costs $92,591.41", + "bbox_px": [ + 177.78, + 814.18, + 1483.25, + 858.08 + ] + }, + { + "text": "Facility Expenses $48,388.29", + "bbox_px": [ + 177.18, + 867.6, + 1482.65, + 911.49 + ] + }, + { + "text": "Final Adjusted Total $1,815,231.94", + "bbox_px": [ + 259.88, + 924.04, + 1482.02, + 966.99 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1930/1930.pdf b/new_type_trial_balance/1930/1930.pdf new file mode 100644 index 0000000000000000000000000000000000000000..89096d5cf7ac261e3046483c29b257cc466a2fcc Binary files /dev/null and b/new_type_trial_balance/1930/1930.pdf differ diff --git a/new_type_trial_balance/1930/1930.xlsx b/new_type_trial_balance/1930/1930.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..e60e2091d561874152a08560b0977795cddcaae9 Binary files /dev/null and b/new_type_trial_balance/1930/1930.xlsx differ diff --git a/new_type_trial_balance/1930/1930_dirty_1.json b/new_type_trial_balance/1930/1930_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..971f97d36d1ef481c65609a0844e3dd37613e811 --- /dev/null +++ b/new_type_trial_balance/1930/1930_dirty_1.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1930_dirty_1.png", + "labels": [ + { + "text": "Carrillo Ltd", + "bbox": [ + 157, + 190, + 391, + 238 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $143,609.40", + "bbox": [ + 161, + 383, + 1466, + 433 + ] + }, + { + "text": "Trade Receivables $88,255.37", + "bbox": [ + 162, + 436, + 1467, + 486 + ] + }, + { + "text": "Merchandise Inventory $92,460.94", + "bbox": [ + 163, + 490, + 1468, + 540 + ] + }, + { + "text": "Fixed Assets $453,366.09", + "bbox": [ + 164, + 543, + 1469, + 593 + ] + }, + { + "text": "Trade Payables $39,712.23", + "bbox": [ + 164, + 596, + 1470, + 647 + ] + }, + { + "text": "Debt Obligations $231,507.30", + "bbox": [ + 165, + 650, + 1471, + 700 + ] + }, + { + "text": "Ordinary Shares $188,991.50", + "bbox": [ + 166, + 703, + 1471, + 753 + ] + }, + { + "text": "Sales Revenue $436,349.41", + "bbox": [ + 167, + 757, + 1472, + 807 + ] + }, + { + "text": "Personnel Costs $92,591.41", + "bbox": [ + 168, + 810, + 1473, + 860 + ] + }, + { + "text": "Facility Expenses $48,388.29", + "bbox": [ + 169, + 864, + 1474, + 914 + ] + }, + { + "text": "Final Adjusted Total $1,815,231.94", + "bbox": [ + 253, + 919, + 1475, + 968 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1930/1930_dirty_2.json b/new_type_trial_balance/1930/1930_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..d35911292b64fe68d95a26c63b1d79f6aee4f49d --- /dev/null +++ b/new_type_trial_balance/1930/1930_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1930_dirty_2.png", + "labels": [ + { + "text": "Carrillo Ltd", + "bbox": [ + 190, + 165, + 423, + 213 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $143,609.40", + "bbox": [ + 186, + 383, + 1492, + 434 + ] + }, + { + "text": "Trade Receivables $88,255.37", + "bbox": [ + 185, + 436, + 1491, + 487 + ] + }, + { + "text": "Merchandise Inventory $92,460.94", + "bbox": [ + 184, + 490, + 1490, + 541 + ] + }, + { + "text": "Fixed Assets $453,366.09", + "bbox": [ + 184, + 543, + 1489, + 594 + ] + }, + { + "text": "Trade Payables $39,712.23", + "bbox": [ + 183, + 596, + 1488, + 648 + ] + }, + { + "text": "Debt Obligations $231,507.30", + "bbox": [ + 182, + 650, + 1487, + 701 + ] + }, + { + "text": "Ordinary Shares $188,991.50", + "bbox": [ + 181, + 703, + 1486, + 754 + ] + }, + { + "text": "Sales Revenue $436,349.41", + "bbox": [ + 180, + 757, + 1485, + 808 + ] + }, + { + "text": "Personnel Costs $92,591.41", + "bbox": [ + 179, + 809, + 1484, + 861 + ] + }, + { + "text": "Facility Expenses $48,388.29", + "bbox": [ + 178, + 863, + 1483, + 915 + ] + }, + { + "text": "Final Adjusted Total $1,815,231.94", + "bbox": [ + 260, + 920, + 1482, + 970 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1930/1930_dirty_3.json b/new_type_trial_balance/1930/1930_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..b533021a8394f4f149b2d4fc6d08c60838da8714 --- /dev/null +++ b/new_type_trial_balance/1930/1930_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1930_dirty_3.png", + "labels": [ + { + "text": "Carrillo Ltd", + "bbox": [ + 185, + 173, + 418, + 220 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $143,609.40", + "bbox": [ + 182, + 386, + 1488, + 430 + ] + }, + { + "text": "Trade Receivables $88,255.37", + "bbox": [ + 182, + 439, + 1487, + 483 + ] + }, + { + "text": "Merchandise Inventory $92,460.94", + "bbox": [ + 181, + 493, + 1486, + 537 + ] + }, + { + "text": "Fixed Assets $453,366.09", + "bbox": [ + 180, + 546, + 1486, + 590 + ] + }, + { + "text": "Trade Payables $39,712.23", + "bbox": [ + 180, + 599, + 1485, + 644 + ] + }, + { + "text": "Debt Obligations $231,507.30", + "bbox": [ + 179, + 653, + 1484, + 697 + ] + }, + { + "text": "Ordinary Shares $188,991.50", + "bbox": [ + 179, + 706, + 1484, + 750 + ] + }, + { + "text": "Sales Revenue $436,349.41", + "bbox": [ + 178, + 760, + 1483, + 804 + ] + }, + { + "text": "Personnel Costs $92,591.41", + "bbox": [ + 177, + 813, + 1483, + 857 + ] + }, + { + "text": "Facility Expenses $48,388.29", + "bbox": [ + 177, + 867, + 1482, + 911 + ] + }, + { + "text": "Final Adjusted Total $1,815,231.94", + "bbox": [ + 259, + 923, + 1481, + 966 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1930/1930_dirty_4.json b/new_type_trial_balance/1930/1930_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..202428e6318cafb6a4a8f4a9a571b8ed5e86b70b --- /dev/null +++ b/new_type_trial_balance/1930/1930_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1930_dirty_4.png", + "labels": [ + { + "text": "Carrillo Ltd", + "bbox": [ + 191, + 167, + 425, + 215 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $143,609.40", + "bbox": [ + 188, + 381, + 1493, + 435 + ] + }, + { + "text": "Trade Receivables $88,255.37", + "bbox": [ + 187, + 434, + 1492, + 488 + ] + }, + { + "text": "Merchandise Inventory $92,460.94", + "bbox": [ + 186, + 488, + 1491, + 542 + ] + }, + { + "text": "Fixed Assets $453,366.09", + "bbox": [ + 185, + 541, + 1490, + 595 + ] + }, + { + "text": "Trade Payables $39,712.23", + "bbox": [ + 184, + 594, + 1489, + 649 + ] + }, + { + "text": "Debt Obligations $231,507.30", + "bbox": [ + 183, + 648, + 1488, + 702 + ] + }, + { + "text": "Ordinary Shares $188,991.50", + "bbox": [ + 182, + 701, + 1487, + 755 + ] + }, + { + "text": "Sales Revenue $436,349.41", + "bbox": [ + 181, + 755, + 1486, + 809 + ] + }, + { + "text": "Personnel Costs $92,591.41", + "bbox": [ + 180, + 808, + 1485, + 862 + ] + }, + { + "text": "Facility Expenses $48,388.29", + "bbox": [ + 179, + 862, + 1484, + 916 + ] + }, + { + "text": "Final Adjusted Total $1,815,231.94", + "bbox": [ + 261, + 919, + 1483, + 971 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1930/1930_dirty_5.json b/new_type_trial_balance/1930/1930_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..c899de5639ccf2eb19b7d69a3c55c9da81f05d55 --- /dev/null +++ b/new_type_trial_balance/1930/1930_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1930_dirty_5.png", + "labels": [ + { + "text": "Carrillo Ltd", + "bbox": [ + 193, + 160, + 427, + 208 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $143,609.40", + "bbox": [ + 189, + 363, + 1494, + 419 + ] + }, + { + "text": "Trade Receivables $88,255.37", + "bbox": [ + 188, + 416, + 1493, + 472 + ] + }, + { + "text": "Merchandise Inventory $92,460.94", + "bbox": [ + 187, + 470, + 1492, + 526 + ] + }, + { + "text": "Fixed Assets $453,366.09", + "bbox": [ + 185, + 523, + 1491, + 579 + ] + }, + { + "text": "Trade Payables $39,712.23", + "bbox": [ + 184, + 576, + 1490, + 633 + ] + }, + { + "text": "Debt Obligations $231,507.30", + "bbox": [ + 183, + 630, + 1489, + 686 + ] + }, + { + "text": "Ordinary Shares $188,991.50", + "bbox": [ + 182, + 683, + 1488, + 739 + ] + }, + { + "text": "Sales Revenue $436,349.41", + "bbox": [ + 181, + 737, + 1486, + 793 + ] + }, + { + "text": "Personnel Costs $92,591.41", + "bbox": [ + 180, + 790, + 1485, + 846 + ] + }, + { + "text": "Facility Expenses $48,388.29", + "bbox": [ + 179, + 844, + 1484, + 900 + ] + }, + { + "text": "Final Adjusted Total $1,815,231.94", + "bbox": [ + 261, + 901, + 1483, + 955 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1930/1930_pdf.json b/new_type_trial_balance/1930/1930_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..582769af1088010f8483009018f69c33b08625ce --- /dev/null +++ b/new_type_trial_balance/1930/1930_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1930.pdf", + "labels": [ + { + "text": "Carrillo Ltd", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 146.70341324999998, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $143,609.40", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.571808, + 152.40670650000004 + ] + }, + { + "text": "Trade Receivables $88,255.37", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Merchandise Inventory $92,460.94", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.5734077499999, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $453,366.09", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Trade Payables $39,712.23", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Debt Obligations $231,507.30", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Ordinary Shares $188,991.50", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Sales Revenue $436,349.41", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Personnel Costs $92,591.41", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.5734077499999, + 306.25045650000004 + ] + }, + { + "text": "Facility Expenses $48,388.29", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Final Adjusted Total $1,815,231.94", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1932/1932.json b/new_type_trial_balance/1932/1932.json new file mode 100644 index 0000000000000000000000000000000000000000..c6860ba89aafcf42a76e4d34d8f3fe40f9818aab --- /dev/null +++ b/new_type_trial_balance/1932/1932.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_1932.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Smith-George", + "bbox_px": [ + 174.44, + 179.07, + 463.73, + 222.91 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $147,936.39", + "bbox_px": [ + 174.38, + 393.98, + 1479.61, + 423.56 + ] + }, + { + "text": "Outstanding Receivables $43,967.48", + "bbox_px": [ + 174.36, + 447.4, + 1479.6, + 476.97 + ] + }, + { + "text": "Stock on Hand $47,537.47", + "bbox_px": [ + 174.35, + 500.82, + 1479.58, + 530.39 + ] + }, + { + "text": "Fixed Assets $265,372.38", + "bbox_px": [ + 174.33, + 554.24, + 1479.56, + 583.81 + ] + }, + { + "text": "Outstanding Liabilities $54,576.60", + "bbox_px": [ + 174.31, + 607.65, + 1479.55, + 637.23 + ] + }, + { + "text": "Borrowings $162,493.67", + "bbox_px": [ + 174.3, + 661.07, + 1479.52, + 690.65 + ] + }, + { + "text": "Equity Shares $280,403.35", + "bbox_px": [ + 174.28, + 714.49, + 1479.51, + 744.06 + ] + }, + { + "text": "Income $236,399.17", + "bbox_px": [ + 174.26, + 767.91, + 1479.49, + 797.48 + ] + }, + { + "text": "Personnel Costs $60,024.52", + "bbox_px": [ + 174.25, + 821.33, + 1479.48, + 850.9 + ] + }, + { + "text": "Facility Costs $26,098.77", + "bbox_px": [ + 174.23, + 874.74, + 1479.46, + 904.32 + ] + }, + { + "text": "Net Adjusted Balance $1,324,809.80", + "bbox_px": [ + 257.55, + 930.27, + 1479.44, + 959.82 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1932/1932.pdf b/new_type_trial_balance/1932/1932.pdf new file mode 100644 index 0000000000000000000000000000000000000000..47f768b283a96ac8e706d724c5df64ec5b40ec98 Binary files /dev/null and b/new_type_trial_balance/1932/1932.pdf differ diff --git a/new_type_trial_balance/1932/1932.xlsx b/new_type_trial_balance/1932/1932.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..adfe5dffba84b32779831edb6d3151a6d805be36 Binary files /dev/null and b/new_type_trial_balance/1932/1932.xlsx differ diff --git a/new_type_trial_balance/1932/1932_dirty_1.json b/new_type_trial_balance/1932/1932_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..fb4f026152ec7ea2ba44db2adc3ab3c883c8dfd6 --- /dev/null +++ b/new_type_trial_balance/1932/1932_dirty_1.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1932_dirty_1.png", + "labels": [ + { + "text": "Smith-George", + "bbox": [ + 169, + 183, + 459, + 228 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $147,936.39", + "bbox": [ + 170, + 391, + 1475, + 425 + ] + }, + { + "text": "Outstanding Receivables $43,967.48", + "bbox": [ + 170, + 444, + 1476, + 478 + ] + }, + { + "text": "Stock on Hand $47,537.47", + "bbox": [ + 171, + 498, + 1476, + 532 + ] + }, + { + "text": "Fixed Assets $265,372.38", + "bbox": [ + 171, + 551, + 1476, + 585 + ] + }, + { + "text": "Outstanding Liabilities $54,576.60", + "bbox": [ + 171, + 604, + 1476, + 639 + ] + }, + { + "text": "Borrowings $162,493.67", + "bbox": [ + 171, + 658, + 1476, + 692 + ] + }, + { + "text": "Equity Shares $280,403.35", + "bbox": [ + 172, + 711, + 1477, + 745 + ] + }, + { + "text": "Income $236,399.17", + "bbox": [ + 172, + 765, + 1477, + 799 + ] + }, + { + "text": "Personnel Costs $60,024.52", + "bbox": [ + 172, + 818, + 1477, + 852 + ] + }, + { + "text": "Facility Costs $26,098.77", + "bbox": [ + 172, + 872, + 1477, + 906 + ] + }, + { + "text": "Net Adjusted Balance $1,324,809.80", + "bbox": [ + 256, + 927, + 1478, + 961 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1932/1932_dirty_2.json b/new_type_trial_balance/1932/1932_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..251d3bd48ab7abfe17bf42415be4a02841cc2b50 --- /dev/null +++ b/new_type_trial_balance/1932/1932_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1932_dirty_2.png", + "labels": [ + { + "text": "Smith-George", + "bbox": [ + 174, + 178, + 463, + 222 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $147,936.39", + "bbox": [ + 174, + 393, + 1479, + 423 + ] + }, + { + "text": "Outstanding Receivables $43,967.48", + "bbox": [ + 174, + 446, + 1479, + 476 + ] + }, + { + "text": "Stock on Hand $47,537.47", + "bbox": [ + 174, + 500, + 1479, + 530 + ] + }, + { + "text": "Fixed Assets $265,372.38", + "bbox": [ + 174, + 553, + 1479, + 583 + ] + }, + { + "text": "Outstanding Liabilities $54,576.60", + "bbox": [ + 174, + 606, + 1479, + 637 + ] + }, + { + "text": "Borrowings $162,493.67", + "bbox": [ + 174, + 660, + 1479, + 690 + ] + }, + { + "text": "Equity Shares $280,403.35", + "bbox": [ + 174, + 713, + 1479, + 743 + ] + }, + { + "text": "Income $236,399.17", + "bbox": [ + 174, + 767, + 1479, + 797 + ] + }, + { + "text": "Personnel Costs $60,024.52", + "bbox": [ + 174, + 820, + 1479, + 850 + ] + }, + { + "text": "Facility Costs $26,098.77", + "bbox": [ + 174, + 874, + 1479, + 904 + ] + }, + { + "text": "Net Adjusted Balance $1,324,809.80", + "bbox": [ + 257, + 929, + 1479, + 959 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1932/1932_dirty_3.json b/new_type_trial_balance/1932/1932_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..05f1e7a3b2b2a595d5e26968f272f8769933822a --- /dev/null +++ b/new_type_trial_balance/1932/1932_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1932_dirty_3.png", + "labels": [ + { + "text": "Smith-George", + "bbox": [ + 171, + 180, + 460, + 224 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $147,936.39", + "bbox": [ + 171, + 392, + 1476, + 424 + ] + }, + { + "text": "Outstanding Receivables $43,967.48", + "bbox": [ + 171, + 445, + 1477, + 477 + ] + }, + { + "text": "Stock on Hand $47,537.47", + "bbox": [ + 172, + 499, + 1477, + 531 + ] + }, + { + "text": "Fixed Assets $265,372.38", + "bbox": [ + 172, + 552, + 1477, + 584 + ] + }, + { + "text": "Outstanding Liabilities $54,576.60", + "bbox": [ + 172, + 605, + 1477, + 638 + ] + }, + { + "text": "Borrowings $162,493.67", + "bbox": [ + 172, + 659, + 1477, + 691 + ] + }, + { + "text": "Equity Shares $280,403.35", + "bbox": [ + 172, + 712, + 1477, + 744 + ] + }, + { + "text": "Income $236,399.17", + "bbox": [ + 172, + 766, + 1477, + 798 + ] + }, + { + "text": "Personnel Costs $60,024.52", + "bbox": [ + 173, + 819, + 1478, + 851 + ] + }, + { + "text": "Facility Costs $26,098.77", + "bbox": [ + 173, + 873, + 1478, + 905 + ] + }, + { + "text": "Net Adjusted Balance $1,324,809.80", + "bbox": [ + 256, + 928, + 1478, + 960 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1932/1932_dirty_4.json b/new_type_trial_balance/1932/1932_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..ad873dca52351c397006f10c8d02dc30d2820513 --- /dev/null +++ b/new_type_trial_balance/1932/1932_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1932_dirty_4.png", + "labels": [ + { + "text": "Smith-George", + "bbox": [ + 186, + 174, + 475, + 222 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $147,936.39", + "bbox": [ + 183, + 385, + 1488, + 431 + ] + }, + { + "text": "Outstanding Receivables $43,967.48", + "bbox": [ + 182, + 438, + 1488, + 484 + ] + }, + { + "text": "Stock on Hand $47,537.47", + "bbox": [ + 182, + 492, + 1487, + 538 + ] + }, + { + "text": "Fixed Assets $265,372.38", + "bbox": [ + 181, + 545, + 1486, + 591 + ] + }, + { + "text": "Outstanding Liabilities $54,576.60", + "bbox": [ + 180, + 598, + 1486, + 645 + ] + }, + { + "text": "Borrowings $162,493.67", + "bbox": [ + 180, + 652, + 1485, + 698 + ] + }, + { + "text": "Equity Shares $280,403.35", + "bbox": [ + 179, + 705, + 1484, + 751 + ] + }, + { + "text": "Income $236,399.17", + "bbox": [ + 178, + 759, + 1484, + 805 + ] + }, + { + "text": "Personnel Costs $60,024.52", + "bbox": [ + 178, + 812, + 1483, + 858 + ] + }, + { + "text": "Facility Costs $26,098.77", + "bbox": [ + 177, + 866, + 1482, + 912 + ] + }, + { + "text": "Net Adjusted Balance $1,324,809.80", + "bbox": [ + 259, + 922, + 1481, + 967 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1932/1932_dirty_5.json b/new_type_trial_balance/1932/1932_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..fe9e834426236c9b2c59112b4fc37f6a1d3190b0 --- /dev/null +++ b/new_type_trial_balance/1932/1932_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1932_dirty_5.png", + "labels": [ + { + "text": "Smith-George", + "bbox": [ + 157, + 185, + 446, + 234 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $147,936.39", + "bbox": [ + 160, + 382, + 1466, + 434 + ] + }, + { + "text": "Outstanding Receivables $43,967.48", + "bbox": [ + 161, + 435, + 1467, + 487 + ] + }, + { + "text": "Stock on Hand $47,537.47", + "bbox": [ + 162, + 489, + 1467, + 541 + ] + }, + { + "text": "Fixed Assets $265,372.38", + "bbox": [ + 163, + 542, + 1468, + 594 + ] + }, + { + "text": "Outstanding Liabilities $54,576.60", + "bbox": [ + 164, + 595, + 1469, + 648 + ] + }, + { + "text": "Borrowings $162,493.67", + "bbox": [ + 165, + 649, + 1470, + 701 + ] + }, + { + "text": "Equity Shares $280,403.35", + "bbox": [ + 166, + 702, + 1471, + 754 + ] + }, + { + "text": "Income $236,399.17", + "bbox": [ + 167, + 756, + 1472, + 808 + ] + }, + { + "text": "Personnel Costs $60,024.52", + "bbox": [ + 168, + 809, + 1473, + 861 + ] + }, + { + "text": "Facility Costs $26,098.77", + "bbox": [ + 169, + 863, + 1474, + 915 + ] + }, + { + "text": "Net Adjusted Balance $1,324,809.80", + "bbox": [ + 252, + 918, + 1475, + 968 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1932/1932_pdf.json b/new_type_trial_balance/1932/1932_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..0a84cd6aec79c46cdd82a5e31c96b492c0aae498 --- /dev/null +++ b/new_type_trial_balance/1932/1932_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1932.pdf", + "labels": [ + { + "text": "Smith-George", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 166.83191325, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $147,936.39", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.571808, + 152.40670650000004 + ] + }, + { + "text": "Outstanding Receivables $43,967.48", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock on Hand $47,537.47", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.5734077499999, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $265,372.38", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Outstanding Liabilities $54,576.60", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Borrowings $162,493.67", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Equity Shares $280,403.35", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Income $236,399.17", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Personnel Costs $60,024.52", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.5734077499999, + 306.25045650000004 + ] + }, + { + "text": "Facility Costs $26,098.77", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Net Adjusted Balance $1,324,809.80", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/194/194.json b/new_type_trial_balance/194/194.json new file mode 100644 index 0000000000000000000000000000000000000000..5b358ecef2fe0eca42456fd32511374aa07338cf --- /dev/null +++ b/new_type_trial_balance/194/194.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_194.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Goodwin, Kemp and Gamble", + "bbox_px": [ + 190.28, + 168.35, + 786.55, + 222.19 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $69,862.45", + "bbox_px": [ + 186.89, + 383.22, + 1492.42, + 434.52 + ] + }, + { + "text": "Customer Receivables $81,607.60", + "bbox_px": [ + 185.98, + 436.63, + 1491.51, + 487.93 + ] + }, + { + "text": "Stock on Hand $90,502.66", + "bbox_px": [ + 185.08, + 490.04, + 1490.61, + 541.34 + ] + }, + { + "text": "Fixed Assets $329,449.28", + "bbox_px": [ + 184.17, + 543.46, + 1489.7, + 594.75 + ] + }, + { + "text": "Vendor Payables $24,010.68", + "bbox_px": [ + 183.26, + 596.87, + 1488.79, + 648.16 + ] + }, + { + "text": "Borrowings $156,772.25", + "bbox_px": [ + 182.36, + 650.28, + 1487.88, + 701.57 + ] + }, + { + "text": "Capital Shares $195,511.58", + "bbox_px": [ + 181.45, + 703.69, + 1487.01, + 754.99 + ] + }, + { + "text": "Sales Revenue $501,314.03", + "bbox_px": [ + 180.55, + 757.1, + 1486.07, + 808.4 + ] + }, + { + "text": "Personnel Costs $155,534.83", + "bbox_px": [ + 179.64, + 810.51, + 1485.17, + 861.81 + ] + }, + { + "text": "Facility Expenses $35,151.94", + "bbox_px": [ + 178.73, + 863.92, + 1484.26, + 915.22 + ] + }, + { + "text": "Net Adjusted Balance $1,639,717.30", + "bbox_px": [ + 261.11, + 920.82, + 1483.32, + 970.71 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/194/194.pdf b/new_type_trial_balance/194/194.pdf new file mode 100644 index 0000000000000000000000000000000000000000..d82ee3cb34b55b720ef326f6fbb347569101cc91 Binary files /dev/null and b/new_type_trial_balance/194/194.pdf differ diff --git a/new_type_trial_balance/194/194.xlsx b/new_type_trial_balance/194/194.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..bc063cf727571a86879f0c996d89990101300511 Binary files /dev/null and b/new_type_trial_balance/194/194.xlsx differ diff --git a/new_type_trial_balance/194/194_dirty_1.json b/new_type_trial_balance/194/194_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..40436f69bd15ff910e107db8c88b92a24c891f7e --- /dev/null +++ b/new_type_trial_balance/194/194_dirty_1.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_194_dirty_1.png", + "labels": [ + { + "text": "Goodwin, Kemp and Gamble", + "bbox": [ + 177, + 166, + 773, + 212 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $69,862.45", + "bbox": [ + 177, + 375, + 1482, + 409 + ] + }, + { + "text": "Customer Receivables $81,607.60", + "bbox": [ + 176, + 428, + 1482, + 462 + ] + }, + { + "text": "Stock on Hand $90,502.66", + "bbox": [ + 176, + 482, + 1481, + 516 + ] + }, + { + "text": "Fixed Assets $329,449.28", + "bbox": [ + 176, + 535, + 1481, + 569 + ] + }, + { + "text": "Vendor Payables $24,010.68", + "bbox": [ + 176, + 588, + 1481, + 623 + ] + }, + { + "text": "Borrowings $156,772.25", + "bbox": [ + 176, + 642, + 1481, + 676 + ] + }, + { + "text": "Capital Shares $195,511.58", + "bbox": [ + 175, + 695, + 1480, + 729 + ] + }, + { + "text": "Sales Revenue $501,314.03", + "bbox": [ + 175, + 749, + 1480, + 783 + ] + }, + { + "text": "Personnel Costs $155,534.83", + "bbox": [ + 175, + 802, + 1480, + 836 + ] + }, + { + "text": "Facility Expenses $35,151.94", + "bbox": [ + 175, + 856, + 1480, + 890 + ] + }, + { + "text": "Net Adjusted Balance $1,639,717.30", + "bbox": [ + 257, + 911, + 1479, + 945 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/194/194_dirty_2.json b/new_type_trial_balance/194/194_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..9b90c097d2d75b7a90848dddd15d81fa1de197b2 --- /dev/null +++ b/new_type_trial_balance/194/194_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_194_dirty_2.png", + "labels": [ + { + "text": "Goodwin, Kemp and Gamble", + "bbox": [ + 155, + 180, + 750, + 235 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $69,862.45", + "bbox": [ + 159, + 381, + 1464, + 435 + ] + }, + { + "text": "Customer Receivables $81,607.60", + "bbox": [ + 160, + 434, + 1465, + 488 + ] + }, + { + "text": "Stock on Hand $90,502.66", + "bbox": [ + 161, + 488, + 1466, + 542 + ] + }, + { + "text": "Fixed Assets $329,449.28", + "bbox": [ + 162, + 541, + 1467, + 595 + ] + }, + { + "text": "Vendor Payables $24,010.68", + "bbox": [ + 163, + 594, + 1468, + 649 + ] + }, + { + "text": "Borrowings $156,772.25", + "bbox": [ + 164, + 648, + 1469, + 702 + ] + }, + { + "text": "Capital Shares $195,511.58", + "bbox": [ + 165, + 701, + 1470, + 755 + ] + }, + { + "text": "Sales Revenue $501,314.03", + "bbox": [ + 166, + 755, + 1471, + 809 + ] + }, + { + "text": "Personnel Costs $155,534.83", + "bbox": [ + 167, + 808, + 1472, + 862 + ] + }, + { + "text": "Facility Expenses $35,151.94", + "bbox": [ + 168, + 862, + 1473, + 916 + ] + }, + { + "text": "Net Adjusted Balance $1,639,717.30", + "bbox": [ + 252, + 917, + 1474, + 970 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/194/194_dirty_3.json b/new_type_trial_balance/194/194_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..14d4a2099e65b864a43f533938f65c484534f9f0 --- /dev/null +++ b/new_type_trial_balance/194/194_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_194_dirty_3.png", + "labels": [ + { + "text": "Goodwin, Kemp and Gamble", + "bbox": [ + 163, + 180, + 759, + 230 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $69,862.45", + "bbox": [ + 165, + 387, + 1471, + 429 + ] + }, + { + "text": "Customer Receivables $81,607.60", + "bbox": [ + 166, + 440, + 1471, + 482 + ] + }, + { + "text": "Stock on Hand $90,502.66", + "bbox": [ + 167, + 494, + 1472, + 536 + ] + }, + { + "text": "Fixed Assets $329,449.28", + "bbox": [ + 167, + 547, + 1472, + 589 + ] + }, + { + "text": "Vendor Payables $24,010.68", + "bbox": [ + 168, + 600, + 1473, + 643 + ] + }, + { + "text": "Borrowings $156,772.25", + "bbox": [ + 168, + 654, + 1473, + 696 + ] + }, + { + "text": "Capital Shares $195,511.58", + "bbox": [ + 169, + 707, + 1474, + 749 + ] + }, + { + "text": "Sales Revenue $501,314.03", + "bbox": [ + 169, + 761, + 1475, + 803 + ] + }, + { + "text": "Personnel Costs $155,534.83", + "bbox": [ + 170, + 814, + 1475, + 856 + ] + }, + { + "text": "Facility Expenses $35,151.94", + "bbox": [ + 170, + 868, + 1476, + 910 + ] + }, + { + "text": "Net Adjusted Balance $1,639,717.30", + "bbox": [ + 254, + 923, + 1476, + 964 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/194/194_dirty_4.json b/new_type_trial_balance/194/194_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..bfb7aa9a506f1edf0582950d4fd2209ede7ffee6 --- /dev/null +++ b/new_type_trial_balance/194/194_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_194_dirty_4.png", + "labels": [ + { + "text": "Goodwin, Kemp and Gamble", + "bbox": [ + 158, + 170, + 753, + 223 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $69,862.45", + "bbox": [ + 161, + 366, + 1466, + 416 + ] + }, + { + "text": "Customer Receivables $81,607.60", + "bbox": [ + 162, + 419, + 1467, + 469 + ] + }, + { + "text": "Stock on Hand $90,502.66", + "bbox": [ + 163, + 473, + 1468, + 523 + ] + }, + { + "text": "Fixed Assets $329,449.28", + "bbox": [ + 164, + 526, + 1469, + 576 + ] + }, + { + "text": "Vendor Payables $24,010.68", + "bbox": [ + 165, + 579, + 1470, + 630 + ] + }, + { + "text": "Borrowings $156,772.25", + "bbox": [ + 165, + 633, + 1471, + 683 + ] + }, + { + "text": "Capital Shares $195,511.58", + "bbox": [ + 166, + 686, + 1472, + 736 + ] + }, + { + "text": "Sales Revenue $501,314.03", + "bbox": [ + 167, + 740, + 1472, + 790 + ] + }, + { + "text": "Personnel Costs $155,534.83", + "bbox": [ + 168, + 793, + 1473, + 843 + ] + }, + { + "text": "Facility Expenses $35,151.94", + "bbox": [ + 169, + 847, + 1474, + 897 + ] + }, + { + "text": "Net Adjusted Balance $1,639,717.30", + "bbox": [ + 253, + 902, + 1475, + 951 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/194/194_dirty_5.json b/new_type_trial_balance/194/194_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..58d902024488691670e270f0f84b952eddc2b66c --- /dev/null +++ b/new_type_trial_balance/194/194_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_194_dirty_5.png", + "labels": [ + { + "text": "Goodwin, Kemp and Gamble", + "bbox": [ + 164, + 180, + 759, + 230 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $69,862.45", + "bbox": [ + 166, + 387, + 1471, + 429 + ] + }, + { + "text": "Customer Receivables $81,607.60", + "bbox": [ + 166, + 440, + 1472, + 482 + ] + }, + { + "text": "Stock on Hand $90,502.66", + "bbox": [ + 167, + 494, + 1472, + 536 + ] + }, + { + "text": "Fixed Assets $329,449.28", + "bbox": [ + 167, + 547, + 1473, + 589 + ] + }, + { + "text": "Vendor Payables $24,010.68", + "bbox": [ + 168, + 600, + 1473, + 643 + ] + }, + { + "text": "Borrowings $156,772.25", + "bbox": [ + 169, + 654, + 1474, + 696 + ] + }, + { + "text": "Capital Shares $195,511.58", + "bbox": [ + 169, + 707, + 1474, + 749 + ] + }, + { + "text": "Sales Revenue $501,314.03", + "bbox": [ + 170, + 761, + 1475, + 803 + ] + }, + { + "text": "Personnel Costs $155,534.83", + "bbox": [ + 170, + 814, + 1475, + 856 + ] + }, + { + "text": "Facility Expenses $35,151.94", + "bbox": [ + 171, + 868, + 1476, + 910 + ] + }, + { + "text": "Net Adjusted Balance $1,639,717.30", + "bbox": [ + 254, + 923, + 1476, + 964 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/194/194_pdf.json b/new_type_trial_balance/194/194_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..369e6d7203085f6b119708deb59cc786d839a88d --- /dev/null +++ b/new_type_trial_balance/194/194_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_194.pdf", + "labels": [ + { + "text": "Goodwin, Kemp and Gamble", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 277.11341325, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $69,862.45", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.5734077499999, + 152.40670650000004 + ] + }, + { + "text": "Customer Receivables $81,607.60", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock on Hand $90,502.66", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.5734077499999, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $329,449.28", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Vendor Payables $24,010.68", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Borrowings $156,772.25", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Capital Shares $195,511.58", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.58460525, + 267.78951900000004 + ] + }, + { + "text": "Sales Revenue $501,314.03", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Personnel Costs $155,534.83", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.571808, + 306.25045650000004 + ] + }, + { + "text": "Facility Expenses $35,151.94", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Net Adjusted Balance $1,639,717.30", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1949/1949.json b/new_type_trial_balance/1949/1949.json new file mode 100644 index 0000000000000000000000000000000000000000..f89c2f074b14b9a2de5ecd138864bbfe7015c7d5 --- /dev/null +++ b/new_type_trial_balance/1949/1949.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_1949.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Navarro, Lyons and Brewer", + "bbox_px": [ + 176.12, + 177.92, + 743.51, + 222.85 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $94,621.83", + "bbox_px": [ + 175.7, + 392.83, + 1480.98, + 424.71 + ] + }, + { + "text": "Trade Receivables $67,900.33", + "bbox_px": [ + 175.59, + 446.25, + 1480.87, + 478.13 + ] + }, + { + "text": "Stock of Goods $68,851.30", + "bbox_px": [ + 175.48, + 499.66, + 1480.76, + 531.55 + ] + }, + { + "text": "Fixed Assets $292,219.08", + "bbox_px": [ + 175.37, + 553.08, + 1480.64, + 584.97 + ] + }, + { + "text": "Trade Payables $25,534.45", + "bbox_px": [ + 175.26, + 606.5, + 1480.54, + 638.38 + ] + }, + { + "text": "Borrowings $182,971.31", + "bbox_px": [ + 175.14, + 659.92, + 1480.42, + 691.8 + ] + }, + { + "text": "Ordinary Shares $258,469.89", + "bbox_px": [ + 175.03, + 713.34, + 1480.31, + 745.22 + ] + }, + { + "text": "Sales Revenue $224,164.61", + "bbox_px": [ + 174.92, + 766.75, + 1480.2, + 798.64 + ] + }, + { + "text": "Personnel Costs $80,037.56", + "bbox_px": [ + 174.81, + 820.17, + 1480.09, + 852.05 + ] + }, + { + "text": "Lease and Service Charges $42,191.63", + "bbox_px": [ + 174.7, + 873.59, + 1479.98, + 905.47 + ] + }, + { + "text": "Net Adjusted Balance $1,336,961.99", + "bbox_px": [ + 257.92, + 929.26, + 1479.86, + 960.97 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1949/1949.pdf b/new_type_trial_balance/1949/1949.pdf new file mode 100644 index 0000000000000000000000000000000000000000..2b3e6bc4632a629ffcc27cc1e17704c904d62cb4 Binary files /dev/null and b/new_type_trial_balance/1949/1949.pdf differ diff --git a/new_type_trial_balance/1949/1949.xlsx b/new_type_trial_balance/1949/1949.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..58ca7f8555dd7ff8fd7f26f65b413712f0d5bf14 Binary files /dev/null and b/new_type_trial_balance/1949/1949.xlsx differ diff --git a/new_type_trial_balance/1949/1949_dirty_1.json b/new_type_trial_balance/1949/1949_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..8986de4775cff77b85d084321f8185a3e86f24ed --- /dev/null +++ b/new_type_trial_balance/1949/1949_dirty_1.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1949_dirty_1.png", + "labels": [ + { + "text": "Navarro, Lyons and Brewer", + "bbox": [ + 171, + 184, + 738, + 229 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $94,621.83", + "bbox": [ + 171, + 401, + 1476, + 433 + ] + }, + { + "text": "Trade Receivables $67,900.33", + "bbox": [ + 172, + 454, + 1477, + 486 + ] + }, + { + "text": "Stock of Goods $68,851.30", + "bbox": [ + 172, + 508, + 1477, + 540 + ] + }, + { + "text": "Fixed Assets $292,219.08", + "bbox": [ + 172, + 561, + 1477, + 593 + ] + }, + { + "text": "Trade Payables $25,534.45", + "bbox": [ + 172, + 614, + 1477, + 647 + ] + }, + { + "text": "Borrowings $182,971.31", + "bbox": [ + 172, + 668, + 1477, + 700 + ] + }, + { + "text": "Ordinary Shares $258,469.89", + "bbox": [ + 172, + 721, + 1477, + 753 + ] + }, + { + "text": "Sales Revenue $224,164.61", + "bbox": [ + 172, + 775, + 1477, + 807 + ] + }, + { + "text": "Personnel Costs $80,037.56", + "bbox": [ + 173, + 828, + 1478, + 860 + ] + }, + { + "text": "Lease and Service Charges $42,191.63", + "bbox": [ + 173, + 882, + 1478, + 914 + ] + }, + { + "text": "Net Adjusted Balance $1,336,961.99", + "bbox": [ + 256, + 937, + 1478, + 969 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1949/1949_dirty_2.json b/new_type_trial_balance/1949/1949_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..d185e6f18ff5492ed28375bf4f565d01f68688c3 --- /dev/null +++ b/new_type_trial_balance/1949/1949_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1949_dirty_2.png", + "labels": [ + { + "text": "Navarro, Lyons and Brewer", + "bbox": [ + 182, + 173, + 749, + 222 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $94,621.83", + "bbox": [ + 180, + 388, + 1485, + 428 + ] + }, + { + "text": "Trade Receivables $67,900.33", + "bbox": [ + 180, + 441, + 1485, + 481 + ] + }, + { + "text": "Stock of Goods $68,851.30", + "bbox": [ + 179, + 495, + 1484, + 535 + ] + }, + { + "text": "Fixed Assets $292,219.08", + "bbox": [ + 179, + 548, + 1484, + 588 + ] + }, + { + "text": "Trade Payables $25,534.45", + "bbox": [ + 178, + 601, + 1483, + 642 + ] + }, + { + "text": "Borrowings $182,971.31", + "bbox": [ + 178, + 655, + 1483, + 695 + ] + }, + { + "text": "Ordinary Shares $258,469.89", + "bbox": [ + 177, + 708, + 1482, + 748 + ] + }, + { + "text": "Sales Revenue $224,164.61", + "bbox": [ + 177, + 762, + 1482, + 802 + ] + }, + { + "text": "Personnel Costs $80,037.56", + "bbox": [ + 176, + 815, + 1482, + 855 + ] + }, + { + "text": "Lease and Service Charges $42,191.63", + "bbox": [ + 176, + 869, + 1481, + 909 + ] + }, + { + "text": "Net Adjusted Balance $1,336,961.99", + "bbox": [ + 258, + 925, + 1481, + 964 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1949/1949_dirty_3.json b/new_type_trial_balance/1949/1949_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..bd79fe35dbb19c8065df1991000fe4aa4f34bc37 --- /dev/null +++ b/new_type_trial_balance/1949/1949_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1949_dirty_3.png", + "labels": [ + { + "text": "Navarro, Lyons and Brewer", + "bbox": [ + 177, + 182, + 744, + 228 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $94,621.83", + "bbox": [ + 176, + 402, + 1481, + 436 + ] + }, + { + "text": "Trade Receivables $67,900.33", + "bbox": [ + 176, + 455, + 1481, + 489 + ] + }, + { + "text": "Stock of Goods $68,851.30", + "bbox": [ + 176, + 509, + 1481, + 543 + ] + }, + { + "text": "Fixed Assets $292,219.08", + "bbox": [ + 176, + 562, + 1481, + 596 + ] + }, + { + "text": "Trade Payables $25,534.45", + "bbox": [ + 175, + 615, + 1481, + 650 + ] + }, + { + "text": "Borrowings $182,971.31", + "bbox": [ + 175, + 669, + 1480, + 703 + ] + }, + { + "text": "Ordinary Shares $258,469.89", + "bbox": [ + 175, + 722, + 1480, + 756 + ] + }, + { + "text": "Sales Revenue $224,164.61", + "bbox": [ + 175, + 776, + 1480, + 810 + ] + }, + { + "text": "Personnel Costs $80,037.56", + "bbox": [ + 175, + 829, + 1480, + 863 + ] + }, + { + "text": "Lease and Service Charges $42,191.63", + "bbox": [ + 174, + 883, + 1480, + 917 + ] + }, + { + "text": "Net Adjusted Balance $1,336,961.99", + "bbox": [ + 257, + 938, + 1479, + 972 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1949/1949_dirty_4.json b/new_type_trial_balance/1949/1949_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..13340868288d8d104ac065d1c0cff54774baf096 --- /dev/null +++ b/new_type_trial_balance/1949/1949_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1949_dirty_4.png", + "labels": [ + { + "text": "Navarro, Lyons and Brewer", + "bbox": [ + 162, + 175, + 729, + 225 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $94,621.83", + "bbox": [ + 164, + 377, + 1469, + 421 + ] + }, + { + "text": "Trade Receivables $67,900.33", + "bbox": [ + 165, + 430, + 1470, + 474 + ] + }, + { + "text": "Stock of Goods $68,851.30", + "bbox": [ + 165, + 484, + 1471, + 528 + ] + }, + { + "text": "Fixed Assets $292,219.08", + "bbox": [ + 166, + 537, + 1471, + 581 + ] + }, + { + "text": "Trade Payables $25,534.45", + "bbox": [ + 167, + 590, + 1472, + 635 + ] + }, + { + "text": "Borrowings $182,971.31", + "bbox": [ + 167, + 644, + 1473, + 688 + ] + }, + { + "text": "Ordinary Shares $258,469.89", + "bbox": [ + 168, + 697, + 1473, + 741 + ] + }, + { + "text": "Sales Revenue $224,164.61", + "bbox": [ + 169, + 751, + 1474, + 795 + ] + }, + { + "text": "Personnel Costs $80,037.56", + "bbox": [ + 169, + 804, + 1475, + 848 + ] + }, + { + "text": "Lease and Service Charges $42,191.63", + "bbox": [ + 170, + 858, + 1475, + 902 + ] + }, + { + "text": "Net Adjusted Balance $1,336,961.99", + "bbox": [ + 254, + 913, + 1476, + 956 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1949/1949_dirty_5.json b/new_type_trial_balance/1949/1949_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..1d4fc81bb7e14678e6397f80eaf1d47b67c88be4 --- /dev/null +++ b/new_type_trial_balance/1949/1949_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1949_dirty_5.png", + "labels": [ + { + "text": "Navarro, Lyons and Brewer", + "bbox": [ + 171, + 179, + 738, + 224 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $94,621.83", + "bbox": [ + 171, + 392, + 1476, + 424 + ] + }, + { + "text": "Trade Receivables $67,900.33", + "bbox": [ + 171, + 445, + 1476, + 477 + ] + }, + { + "text": "Stock of Goods $68,851.30", + "bbox": [ + 171, + 499, + 1477, + 531 + ] + }, + { + "text": "Fixed Assets $292,219.08", + "bbox": [ + 172, + 552, + 1477, + 584 + ] + }, + { + "text": "Trade Payables $25,534.45", + "bbox": [ + 172, + 605, + 1477, + 638 + ] + }, + { + "text": "Borrowings $182,971.31", + "bbox": [ + 172, + 659, + 1477, + 691 + ] + }, + { + "text": "Ordinary Shares $258,469.89", + "bbox": [ + 172, + 712, + 1477, + 744 + ] + }, + { + "text": "Sales Revenue $224,164.61", + "bbox": [ + 172, + 766, + 1477, + 798 + ] + }, + { + "text": "Personnel Costs $80,037.56", + "bbox": [ + 172, + 819, + 1478, + 851 + ] + }, + { + "text": "Lease and Service Charges $42,191.63", + "bbox": [ + 173, + 873, + 1478, + 905 + ] + }, + { + "text": "Net Adjusted Balance $1,336,961.99", + "bbox": [ + 256, + 928, + 1478, + 960 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1949/1949_pdf.json b/new_type_trial_balance/1949/1949_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..3303b0b7c2712d318918a1250ec0d06427fd4fed --- /dev/null +++ b/new_type_trial_balance/1949/1949_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1949.pdf", + "labels": [ + { + "text": "Navarro, Lyons and Brewer", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 266.92316325, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $94,621.83", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.5734077499999, + 152.40670650000004 + ] + }, + { + "text": "Trade Receivables $67,900.33", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock of Goods $68,851.30", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.5734077499999, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $292,219.08", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Trade Payables $25,534.45", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Borrowings $182,971.31", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Ordinary Shares $258,469.89", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Sales Revenue $224,164.61", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Personnel Costs $80,037.56", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.5734077499999, + 306.25045650000004 + ] + }, + { + "text": "Lease and Service Charges $42,191.63", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Net Adjusted Balance $1,336,961.99", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1967/1967.json b/new_type_trial_balance/1967/1967.json new file mode 100644 index 0000000000000000000000000000000000000000..0a5fc41fa70368a2ca095da3b55cbf37b0d7d4a8 --- /dev/null +++ b/new_type_trial_balance/1967/1967.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_1967.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Sanchez, Williams and White", + "bbox_px": [ + 196.23, + 164.42, + 797.24, + 222.06 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $97,337.28", + "bbox_px": [ + 191.59, + 379.27, + 1497.14, + 438.66 + ] + }, + { + "text": "Outstanding Receivables $81,777.72", + "bbox_px": [ + 190.35, + 432.68, + 1495.9, + 492.06 + ] + }, + { + "text": "Stock on Hand $102,230.60", + "bbox_px": [ + 189.12, + 486.08, + 1494.66, + 545.47 + ] + }, + { + "text": "Fixed Assets and Equipment $261,530.61", + "bbox_px": [ + 187.88, + 539.49, + 1493.42, + 598.87 + ] + }, + { + "text": "Outstanding Liabilities $56,579.36", + "bbox_px": [ + 186.64, + 592.89, + 1492.19, + 652.27 + ] + }, + { + "text": "Debt Instruments $145,117.15", + "bbox_px": [ + 185.4, + 646.29, + 1490.98, + 705.68 + ] + }, + { + "text": "Equity Shares $265,087.66", + "bbox_px": [ + 184.17, + 699.7, + 1489.71, + 759.08 + ] + }, + { + "text": "Income from Operations $546,360.48", + "bbox_px": [ + 182.93, + 753.1, + 1488.47, + 812.48 + ] + }, + { + "text": "Personnel Costs $166,421.90", + "bbox_px": [ + 181.69, + 806.5, + 1487.24, + 865.89 + ] + }, + { + "text": "Facility and Service Charges $30,586.05", + "bbox_px": [ + 180.46, + 859.91, + 1486.01, + 919.29 + ] + }, + { + "text": "Final Adjusted Total $1,753,028.81", + "bbox_px": [ + 262.48, + 917.32, + 1484.72, + 974.78 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1967/1967.pdf b/new_type_trial_balance/1967/1967.pdf new file mode 100644 index 0000000000000000000000000000000000000000..1d9b7df69f1f39a14b552769c2556bd0e2493fe8 Binary files /dev/null and b/new_type_trial_balance/1967/1967.pdf differ diff --git a/new_type_trial_balance/1967/1967.xlsx b/new_type_trial_balance/1967/1967.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..977db263d29a42b839c7eb80464ed3276ea7021e Binary files /dev/null and b/new_type_trial_balance/1967/1967.xlsx differ diff --git a/new_type_trial_balance/1967/1967_dirty_1.json b/new_type_trial_balance/1967/1967_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..d0a5404502769c78ecca2989062da0fac89eb116 --- /dev/null +++ b/new_type_trial_balance/1967/1967_dirty_1.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1967_dirty_1.png", + "labels": [ + { + "text": "Sanchez, Williams and White", + "bbox": [ + 191, + 155, + 792, + 210 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $97,337.28", + "bbox": [ + 187, + 364, + 1493, + 417 + ] + }, + { + "text": "Outstanding Receivables $81,777.72", + "bbox": [ + 186, + 417, + 1492, + 470 + ] + }, + { + "text": "Stock on Hand $102,230.60", + "bbox": [ + 185, + 471, + 1491, + 524 + ] + }, + { + "text": "Fixed Assets and Equipment $261,530.61", + "bbox": [ + 184, + 524, + 1490, + 577 + ] + }, + { + "text": "Outstanding Liabilities $56,579.36", + "bbox": [ + 183, + 577, + 1489, + 631 + ] + }, + { + "text": "Debt Instruments $145,117.15", + "bbox": [ + 182, + 631, + 1488, + 684 + ] + }, + { + "text": "Equity Shares $265,087.66", + "bbox": [ + 181, + 684, + 1487, + 737 + ] + }, + { + "text": "Income from Operations $546,360.48", + "bbox": [ + 180, + 738, + 1486, + 791 + ] + }, + { + "text": "Personnel Costs $166,421.90", + "bbox": [ + 179, + 791, + 1485, + 844 + ] + }, + { + "text": "Facility and Service Charges $30,586.05", + "bbox": [ + 178, + 845, + 1484, + 898 + ] + }, + { + "text": "Final Adjusted Total $1,753,028.81", + "bbox": [ + 260, + 901, + 1483, + 953 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1967/1967_dirty_2.json b/new_type_trial_balance/1967/1967_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..63ac2762e193099776fb791349e91deb6f742732 --- /dev/null +++ b/new_type_trial_balance/1967/1967_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1967_dirty_2.png", + "labels": [ + { + "text": "Sanchez, Williams and White", + "bbox": [ + 189, + 168, + 789, + 222 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $97,337.28", + "bbox": [ + 186, + 383, + 1491, + 433 + ] + }, + { + "text": "Outstanding Receivables $81,777.72", + "bbox": [ + 185, + 436, + 1490, + 486 + ] + }, + { + "text": "Stock on Hand $102,230.60", + "bbox": [ + 184, + 490, + 1489, + 540 + ] + }, + { + "text": "Fixed Assets and Equipment $261,530.61", + "bbox": [ + 183, + 543, + 1488, + 593 + ] + }, + { + "text": "Outstanding Liabilities $56,579.36", + "bbox": [ + 182, + 596, + 1487, + 647 + ] + }, + { + "text": "Debt Instruments $145,117.15", + "bbox": [ + 181, + 650, + 1487, + 700 + ] + }, + { + "text": "Equity Shares $265,087.66", + "bbox": [ + 180, + 703, + 1486, + 753 + ] + }, + { + "text": "Income from Operations $546,360.48", + "bbox": [ + 180, + 757, + 1485, + 807 + ] + }, + { + "text": "Personnel Costs $166,421.90", + "bbox": [ + 179, + 810, + 1484, + 860 + ] + }, + { + "text": "Facility and Service Charges $30,586.05", + "bbox": [ + 178, + 864, + 1483, + 914 + ] + }, + { + "text": "Final Adjusted Total $1,753,028.81", + "bbox": [ + 260, + 920, + 1482, + 969 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1967/1967_dirty_3.json b/new_type_trial_balance/1967/1967_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..a117564995b79832e8a3df2a82b57f6bf8acfef9 --- /dev/null +++ b/new_type_trial_balance/1967/1967_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1967_dirty_3.png", + "labels": [ + { + "text": "Sanchez, Williams and White", + "bbox": [ + 166, + 179, + 766, + 228 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $97,337.28", + "bbox": [ + 167, + 388, + 1473, + 428 + ] + }, + { + "text": "Outstanding Receivables $81,777.72", + "bbox": [ + 168, + 441, + 1473, + 481 + ] + }, + { + "text": "Stock on Hand $102,230.60", + "bbox": [ + 168, + 495, + 1473, + 535 + ] + }, + { + "text": "Fixed Assets and Equipment $261,530.61", + "bbox": [ + 169, + 548, + 1474, + 588 + ] + }, + { + "text": "Outstanding Liabilities $56,579.36", + "bbox": [ + 169, + 601, + 1474, + 642 + ] + }, + { + "text": "Debt Instruments $145,117.15", + "bbox": [ + 169, + 655, + 1475, + 695 + ] + }, + { + "text": "Equity Shares $265,087.66", + "bbox": [ + 170, + 708, + 1475, + 748 + ] + }, + { + "text": "Income from Operations $546,360.48", + "bbox": [ + 170, + 762, + 1476, + 802 + ] + }, + { + "text": "Personnel Costs $166,421.90", + "bbox": [ + 171, + 815, + 1476, + 855 + ] + }, + { + "text": "Facility and Service Charges $30,586.05", + "bbox": [ + 171, + 869, + 1476, + 909 + ] + }, + { + "text": "Final Adjusted Total $1,753,028.81", + "bbox": [ + 255, + 924, + 1477, + 963 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1967/1967_dirty_4.json b/new_type_trial_balance/1967/1967_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..eb7858cee227e68804d08de6cacee2f7f3ce6602 --- /dev/null +++ b/new_type_trial_balance/1967/1967_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1967_dirty_4.png", + "labels": [ + { + "text": "Sanchez, Williams and White", + "bbox": [ + 158, + 188, + 759, + 242 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $97,337.28", + "bbox": [ + 162, + 399, + 1467, + 449 + ] + }, + { + "text": "Outstanding Receivables $81,777.72", + "bbox": [ + 162, + 452, + 1468, + 502 + ] + }, + { + "text": "Stock on Hand $102,230.60", + "bbox": [ + 163, + 506, + 1468, + 556 + ] + }, + { + "text": "Fixed Assets and Equipment $261,530.61", + "bbox": [ + 164, + 559, + 1469, + 609 + ] + }, + { + "text": "Outstanding Liabilities $56,579.36", + "bbox": [ + 165, + 612, + 1470, + 663 + ] + }, + { + "text": "Debt Instruments $145,117.15", + "bbox": [ + 166, + 666, + 1471, + 716 + ] + }, + { + "text": "Equity Shares $265,087.66", + "bbox": [ + 167, + 719, + 1472, + 769 + ] + }, + { + "text": "Income from Operations $546,360.48", + "bbox": [ + 167, + 773, + 1473, + 823 + ] + }, + { + "text": "Personnel Costs $166,421.90", + "bbox": [ + 168, + 826, + 1473, + 876 + ] + }, + { + "text": "Facility and Service Charges $30,586.05", + "bbox": [ + 169, + 880, + 1474, + 930 + ] + }, + { + "text": "Final Adjusted Total $1,753,028.81", + "bbox": [ + 253, + 934, + 1475, + 982 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1967/1967_dirty_5.json b/new_type_trial_balance/1967/1967_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..b79d0ec46aa084903408ef3f6dfe14077403e64e --- /dev/null +++ b/new_type_trial_balance/1967/1967_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1967_dirty_5.png", + "labels": [ + { + "text": "Sanchez, Williams and White", + "bbox": [ + 170, + 178, + 770, + 224 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $97,337.28", + "bbox": [ + 170, + 391, + 1476, + 425 + ] + }, + { + "text": "Outstanding Receivables $81,777.72", + "bbox": [ + 171, + 444, + 1476, + 478 + ] + }, + { + "text": "Stock on Hand $102,230.60", + "bbox": [ + 171, + 498, + 1476, + 532 + ] + }, + { + "text": "Fixed Assets and Equipment $261,530.61", + "bbox": [ + 171, + 551, + 1476, + 585 + ] + }, + { + "text": "Outstanding Liabilities $56,579.36", + "bbox": [ + 171, + 604, + 1476, + 639 + ] + }, + { + "text": "Debt Instruments $145,117.15", + "bbox": [ + 172, + 658, + 1477, + 692 + ] + }, + { + "text": "Equity Shares $265,087.66", + "bbox": [ + 172, + 711, + 1477, + 745 + ] + }, + { + "text": "Income from Operations $546,360.48", + "bbox": [ + 172, + 765, + 1477, + 799 + ] + }, + { + "text": "Personnel Costs $166,421.90", + "bbox": [ + 172, + 818, + 1477, + 852 + ] + }, + { + "text": "Facility and Service Charges $30,586.05", + "bbox": [ + 172, + 872, + 1477, + 906 + ] + }, + { + "text": "Final Adjusted Total $1,753,028.81", + "bbox": [ + 256, + 927, + 1478, + 961 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/1967/1967_pdf.json b/new_type_trial_balance/1967/1967_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..eb30fcd7dc6311d3c48df13f608a25837faf303f --- /dev/null +++ b/new_type_trial_balance/1967/1967_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_1967.pdf", + "labels": [ + { + "text": "Sanchez, Williams and White", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 278.75141325, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $97,337.28", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.5734077499999, + 152.40670650000004 + ] + }, + { + "text": "Outstanding Receivables $81,777.72", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock on Hand $102,230.60", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.571808, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets and Equipment $261,530.61", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Outstanding Liabilities $56,579.36", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Debt Instruments $145,117.15", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.58460525, + 248.55905025000004 + ] + }, + { + "text": "Equity Shares $265,087.66", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Income from Operations $546,360.48", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Personnel Costs $166,421.90", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.571808, + 306.25045650000004 + ] + }, + { + "text": "Facility and Service Charges $30,586.05", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Final Adjusted Total $1,753,028.81", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/230/230.json b/new_type_trial_balance/230/230.json new file mode 100644 index 0000000000000000000000000000000000000000..aba76eb27a13f9b39d717ea6bb9b953f3785b36e --- /dev/null +++ b/new_type_trial_balance/230/230.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_230.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Rodgers-Chapman", + "bbox_px": [ + 193.32, + 166.34, + 585.47, + 217.95 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $76,508.65", + "bbox_px": [ + 189.29, + 381.2, + 1494.84, + 436.64 + ] + }, + { + "text": "Trade Receivables $68,602.94", + "bbox_px": [ + 188.22, + 434.61, + 1493.76, + 490.04 + ] + }, + { + "text": "Merchandise Inventory $45,477.04", + "bbox_px": [ + 187.14, + 488.01, + 1492.69, + 543.45 + ] + }, + { + "text": "Fixed Assets $424,536.55", + "bbox_px": [ + 186.06, + 541.42, + 1491.61, + 596.86 + ] + }, + { + "text": "Trade Payables $39,025.39", + "bbox_px": [ + 184.99, + 594.83, + 1490.54, + 650.27 + ] + }, + { + "text": "Debt Instruments $100,883.13", + "bbox_px": [ + 183.91, + 648.23, + 1489.46, + 703.67 + ] + }, + { + "text": "Ordinary Shares $261,093.81", + "bbox_px": [ + 182.84, + 701.64, + 1488.38, + 757.08 + ] + }, + { + "text": "Sales Revenue $435,678.92", + "bbox_px": [ + 181.76, + 755.05, + 1487.3, + 810.49 + ] + }, + { + "text": "Personnel Costs $150,240.52", + "bbox_px": [ + 180.69, + 808.46, + 1486.23, + 863.89 + ] + }, + { + "text": "Operating Expenses $26,179.74", + "bbox_px": [ + 179.61, + 861.86, + 1485.16, + 917.3 + ] + }, + { + "text": "Adjusted Final Balance $1,628,226.69", + "bbox_px": [ + 261.81, + 919.03, + 1484.04, + 972.79 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/230/230.pdf b/new_type_trial_balance/230/230.pdf new file mode 100644 index 0000000000000000000000000000000000000000..9461888d3f3aa53e3cea266ab49cc6e7b050ba51 Binary files /dev/null and b/new_type_trial_balance/230/230.pdf differ diff --git a/new_type_trial_balance/230/230.xlsx b/new_type_trial_balance/230/230.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..c1da46d8d0c523f48c7b7322a3e4f972b85aefa3 Binary files /dev/null and b/new_type_trial_balance/230/230.xlsx differ diff --git a/new_type_trial_balance/230/230_dirty_1.json b/new_type_trial_balance/230/230_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..e0060b9a668d4851f484e562b67bd6f0001d2c4c --- /dev/null +++ b/new_type_trial_balance/230/230_dirty_1.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_230_dirty_1.png", + "labels": [ + { + "text": "Rodgers-Chapman", + "bbox": [ + 187, + 167, + 579, + 217 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $76,508.65", + "bbox": [ + 184, + 384, + 1490, + 432 + ] + }, + { + "text": "Trade Receivables $68,602.94", + "bbox": [ + 184, + 437, + 1489, + 485 + ] + }, + { + "text": "Merchandise Inventory $45,477.04", + "bbox": [ + 183, + 491, + 1488, + 539 + ] + }, + { + "text": "Fixed Assets $424,536.55", + "bbox": [ + 182, + 544, + 1487, + 592 + ] + }, + { + "text": "Trade Payables $39,025.39", + "bbox": [ + 181, + 597, + 1487, + 646 + ] + }, + { + "text": "Debt Instruments $100,883.13", + "bbox": [ + 181, + 651, + 1486, + 699 + ] + }, + { + "text": "Ordinary Shares $261,093.81", + "bbox": [ + 180, + 704, + 1485, + 752 + ] + }, + { + "text": "Sales Revenue $435,678.92", + "bbox": [ + 179, + 758, + 1484, + 806 + ] + }, + { + "text": "Personnel Costs $150,240.52", + "bbox": [ + 178, + 811, + 1483, + 859 + ] + }, + { + "text": "Operating Expenses $26,179.74", + "bbox": [ + 177, + 865, + 1483, + 913 + ] + }, + { + "text": "Adjusted Final Balance $1,628,226.69", + "bbox": [ + 260, + 921, + 1482, + 968 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/230/230_dirty_2.json b/new_type_trial_balance/230/230_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..6816619ccb008b6eab3b888eb26e4395230207e9 --- /dev/null +++ b/new_type_trial_balance/230/230_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_230_dirty_2.png", + "labels": [ + { + "text": "Rodgers-Chapman", + "bbox": [ + 161, + 182, + 553, + 231 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $76,508.65", + "bbox": [ + 164, + 385, + 1469, + 431 + ] + }, + { + "text": "Trade Receivables $68,602.94", + "bbox": [ + 165, + 438, + 1470, + 484 + ] + }, + { + "text": "Merchandise Inventory $45,477.04", + "bbox": [ + 165, + 492, + 1470, + 538 + ] + }, + { + "text": "Fixed Assets $424,536.55", + "bbox": [ + 166, + 545, + 1471, + 591 + ] + }, + { + "text": "Trade Payables $39,025.39", + "bbox": [ + 167, + 598, + 1472, + 645 + ] + }, + { + "text": "Debt Instruments $100,883.13", + "bbox": [ + 167, + 652, + 1472, + 698 + ] + }, + { + "text": "Ordinary Shares $261,093.81", + "bbox": [ + 168, + 705, + 1473, + 751 + ] + }, + { + "text": "Sales Revenue $435,678.92", + "bbox": [ + 169, + 759, + 1474, + 805 + ] + }, + { + "text": "Personnel Costs $150,240.52", + "bbox": [ + 169, + 812, + 1474, + 858 + ] + }, + { + "text": "Operating Expenses $26,179.74", + "bbox": [ + 170, + 866, + 1475, + 912 + ] + }, + { + "text": "Adjusted Final Balance $1,628,226.69", + "bbox": [ + 254, + 921, + 1476, + 966 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/230/230_dirty_3.json b/new_type_trial_balance/230/230_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..76fd6ca9110a81ac42e7b4c16dfb5847371fe4f7 --- /dev/null +++ b/new_type_trial_balance/230/230_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_230_dirty_3.png", + "labels": [ + { + "text": "Rodgers-Chapman", + "bbox": [ + 171, + 182, + 563, + 227 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $76,508.65", + "bbox": [ + 172, + 392, + 1477, + 424 + ] + }, + { + "text": "Trade Receivables $68,602.94", + "bbox": [ + 172, + 445, + 1477, + 477 + ] + }, + { + "text": "Merchandise Inventory $45,477.04", + "bbox": [ + 172, + 499, + 1477, + 531 + ] + }, + { + "text": "Fixed Assets $424,536.55", + "bbox": [ + 172, + 552, + 1477, + 584 + ] + }, + { + "text": "Trade Payables $39,025.39", + "bbox": [ + 172, + 605, + 1477, + 638 + ] + }, + { + "text": "Debt Instruments $100,883.13", + "bbox": [ + 172, + 659, + 1478, + 691 + ] + }, + { + "text": "Ordinary Shares $261,093.81", + "bbox": [ + 173, + 712, + 1478, + 744 + ] + }, + { + "text": "Sales Revenue $435,678.92", + "bbox": [ + 173, + 766, + 1478, + 798 + ] + }, + { + "text": "Personnel Costs $150,240.52", + "bbox": [ + 173, + 819, + 1478, + 851 + ] + }, + { + "text": "Operating Expenses $26,179.74", + "bbox": [ + 173, + 873, + 1478, + 905 + ] + }, + { + "text": "Adjusted Final Balance $1,628,226.69", + "bbox": [ + 256, + 928, + 1478, + 960 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/230/230_dirty_4.json b/new_type_trial_balance/230/230_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..349eb3d4cdf89d828c7cdee601864cc494ece4db --- /dev/null +++ b/new_type_trial_balance/230/230_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_230_dirty_4.png", + "labels": [ + { + "text": "Rodgers-Chapman", + "bbox": [ + 186, + 170, + 577, + 219 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $76,508.65", + "bbox": [ + 183, + 385, + 1488, + 431 + ] + }, + { + "text": "Trade Receivables $68,602.94", + "bbox": [ + 182, + 438, + 1488, + 484 + ] + }, + { + "text": "Merchandise Inventory $45,477.04", + "bbox": [ + 182, + 492, + 1487, + 538 + ] + }, + { + "text": "Fixed Assets $424,536.55", + "bbox": [ + 181, + 545, + 1486, + 591 + ] + }, + { + "text": "Trade Payables $39,025.39", + "bbox": [ + 180, + 598, + 1486, + 645 + ] + }, + { + "text": "Debt Instruments $100,883.13", + "bbox": [ + 180, + 652, + 1485, + 698 + ] + }, + { + "text": "Ordinary Shares $261,093.81", + "bbox": [ + 179, + 705, + 1484, + 751 + ] + }, + { + "text": "Sales Revenue $435,678.92", + "bbox": [ + 178, + 759, + 1484, + 805 + ] + }, + { + "text": "Personnel Costs $150,240.52", + "bbox": [ + 178, + 812, + 1483, + 858 + ] + }, + { + "text": "Operating Expenses $26,179.74", + "bbox": [ + 177, + 866, + 1482, + 912 + ] + }, + { + "text": "Adjusted Final Balance $1,628,226.69", + "bbox": [ + 259, + 922, + 1481, + 967 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/230/230_dirty_5.json b/new_type_trial_balance/230/230_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..d1dd981c8806c0482190ead1184ff02c2528b861 --- /dev/null +++ b/new_type_trial_balance/230/230_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_230_dirty_5.png", + "labels": [ + { + "text": "Rodgers-Chapman", + "bbox": [ + 157, + 179, + 549, + 229 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $76,508.65", + "bbox": [ + 161, + 383, + 1466, + 433 + ] + }, + { + "text": "Trade Receivables $68,602.94", + "bbox": [ + 162, + 436, + 1467, + 486 + ] + }, + { + "text": "Merchandise Inventory $45,477.04", + "bbox": [ + 163, + 490, + 1468, + 540 + ] + }, + { + "text": "Fixed Assets $424,536.55", + "bbox": [ + 164, + 543, + 1469, + 593 + ] + }, + { + "text": "Trade Payables $39,025.39", + "bbox": [ + 164, + 596, + 1470, + 647 + ] + }, + { + "text": "Debt Instruments $100,883.13", + "bbox": [ + 165, + 650, + 1471, + 700 + ] + }, + { + "text": "Ordinary Shares $261,093.81", + "bbox": [ + 166, + 703, + 1471, + 753 + ] + }, + { + "text": "Sales Revenue $435,678.92", + "bbox": [ + 167, + 757, + 1472, + 807 + ] + }, + { + "text": "Personnel Costs $150,240.52", + "bbox": [ + 168, + 810, + 1473, + 860 + ] + }, + { + "text": "Operating Expenses $26,179.74", + "bbox": [ + 169, + 864, + 1474, + 914 + ] + }, + { + "text": "Adjusted Final Balance $1,628,226.69", + "bbox": [ + 253, + 919, + 1475, + 968 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/230/230_pdf.json b/new_type_trial_balance/230/230_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..ca17a37bda201f63f4b9203aa74d7394b8cf42de --- /dev/null +++ b/new_type_trial_balance/230/230_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_230.pdf", + "labels": [ + { + "text": "Rodgers-Chapman", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 203.57666325000002, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $76,508.65", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.5734077499999, + 152.40670650000004 + ] + }, + { + "text": "Trade Receivables $68,602.94", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Merchandise Inventory $45,477.04", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.5734077499999, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $424,536.55", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Trade Payables $39,025.39", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Debt Instruments $100,883.13", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Ordinary Shares $261,093.81", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Sales Revenue $435,678.92", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Personnel Costs $150,240.52", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.571808, + 306.25045650000004 + ] + }, + { + "text": "Operating Expenses $26,179.74", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Adjusted Final Balance $1,628,226.69", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/239/239.json b/new_type_trial_balance/239/239.json new file mode 100644 index 0000000000000000000000000000000000000000..996044c88d2cd00699466b138c60805cfb249f77 --- /dev/null +++ b/new_type_trial_balance/239/239.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_239.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Barnett Ltd", + "bbox_px": [ + 190.96, + 167.9, + 425.02, + 215.76 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $53,078.76", + "bbox_px": [ + 187.42, + 382.77, + 1492.96, + 434.99 + ] + }, + { + "text": "Outstanding Receivables $50,743.72", + "bbox_px": [ + 186.48, + 436.18, + 1492.01, + 488.4 + ] + }, + { + "text": "Stock on Hand $48,505.97", + "bbox_px": [ + 185.54, + 489.59, + 1491.07, + 541.81 + ] + }, + { + "text": "Fixed Assets and Equipment $321,218.76", + "bbox_px": [ + 184.59, + 543.0, + 1490.12, + 595.22 + ] + }, + { + "text": "Vendor Liabilities $24,973.35", + "bbox_px": [ + 183.65, + 596.41, + 1489.18, + 648.63 + ] + }, + { + "text": "Borrowings and Notes Payable $194,153.48", + "bbox_px": [ + 182.7, + 649.82, + 1488.24, + 702.04 + ] + }, + { + "text": "Share Capital $179,254.18", + "bbox_px": [ + 181.76, + 703.23, + 1487.29, + 755.45 + ] + }, + { + "text": "Sales Revenue $555,385.34", + "bbox_px": [ + 180.82, + 756.64, + 1486.35, + 808.86 + ] + }, + { + "text": "Compensation Expense $98,839.22", + "bbox_px": [ + 179.87, + 810.05, + 1485.41, + 862.27 + ] + }, + { + "text": "Facility and Utility Costs $21,360.56", + "bbox_px": [ + 178.93, + 863.46, + 1484.46, + 915.68 + ] + }, + { + "text": "Final Adjusted Balance $1,547,513.34", + "bbox_px": [ + 261.27, + 920.42, + 1483.48, + 971.17 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/239/239.pdf b/new_type_trial_balance/239/239.pdf new file mode 100644 index 0000000000000000000000000000000000000000..c91ce81080cc457868ff07f98bcef7bfee6e4217 Binary files /dev/null and b/new_type_trial_balance/239/239.pdf differ diff --git a/new_type_trial_balance/239/239.xlsx b/new_type_trial_balance/239/239.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..7f7a8d81e7948b000c96c76917c9023f9fd798dc Binary files /dev/null and b/new_type_trial_balance/239/239.xlsx differ diff --git a/new_type_trial_balance/239/239_dirty_1.json b/new_type_trial_balance/239/239_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..48659075a0fd7739e56a26effb0431a6f59bb232 --- /dev/null +++ b/new_type_trial_balance/239/239_dirty_1.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_239_dirty_1.png", + "labels": [ + { + "text": "Barnett Ltd", + "bbox": [ + 193, + 165, + 427, + 214 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $53,078.76", + "bbox": [ + 189, + 380, + 1494, + 436 + ] + }, + { + "text": "Outstanding Receivables $50,743.72", + "bbox": [ + 188, + 433, + 1493, + 489 + ] + }, + { + "text": "Stock on Hand $48,505.97", + "bbox": [ + 187, + 487, + 1492, + 543 + ] + }, + { + "text": "Fixed Assets and Equipment $321,218.76", + "bbox": [ + 186, + 540, + 1491, + 596 + ] + }, + { + "text": "Vendor Liabilities $24,973.35", + "bbox": [ + 184, + 593, + 1490, + 650 + ] + }, + { + "text": "Borrowings and Notes Payable $194,153.48", + "bbox": [ + 183, + 647, + 1489, + 703 + ] + }, + { + "text": "Share Capital $179,254.18", + "bbox": [ + 182, + 700, + 1488, + 756 + ] + }, + { + "text": "Sales Revenue $555,385.34", + "bbox": [ + 181, + 754, + 1487, + 810 + ] + }, + { + "text": "Compensation Expense $98,839.22", + "bbox": [ + 180, + 807, + 1485, + 863 + ] + }, + { + "text": "Facility and Utility Costs $21,360.56", + "bbox": [ + 179, + 861, + 1484, + 917 + ] + }, + { + "text": "Final Adjusted Balance $1,547,513.34", + "bbox": [ + 261, + 918, + 1483, + 972 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/239/239_dirty_2.json b/new_type_trial_balance/239/239_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..9d5765f2e9bcbfd77c0a9fa3d2ebb54b12504e3e --- /dev/null +++ b/new_type_trial_balance/239/239_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_239_dirty_2.png", + "labels": [ + { + "text": "Barnett Ltd", + "bbox": [ + 188, + 163, + 421, + 210 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $53,078.76", + "bbox": [ + 185, + 366, + 1490, + 414 + ] + }, + { + "text": "Outstanding Receivables $50,743.72", + "bbox": [ + 184, + 419, + 1489, + 467 + ] + }, + { + "text": "Stock on Hand $48,505.97", + "bbox": [ + 183, + 473, + 1488, + 521 + ] + }, + { + "text": "Fixed Assets and Equipment $321,218.76", + "bbox": [ + 182, + 526, + 1488, + 574 + ] + }, + { + "text": "Vendor Liabilities $24,973.35", + "bbox": [ + 182, + 579, + 1487, + 628 + ] + }, + { + "text": "Borrowings and Notes Payable $194,153.48", + "bbox": [ + 181, + 633, + 1486, + 681 + ] + }, + { + "text": "Share Capital $179,254.18", + "bbox": [ + 180, + 686, + 1485, + 734 + ] + }, + { + "text": "Sales Revenue $555,385.34", + "bbox": [ + 179, + 740, + 1484, + 788 + ] + }, + { + "text": "Compensation Expense $98,839.22", + "bbox": [ + 178, + 793, + 1484, + 841 + ] + }, + { + "text": "Facility and Utility Costs $21,360.56", + "bbox": [ + 178, + 847, + 1483, + 895 + ] + }, + { + "text": "Final Adjusted Balance $1,547,513.34", + "bbox": [ + 260, + 904, + 1482, + 951 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/239/239_dirty_3.json b/new_type_trial_balance/239/239_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..9b9125846a4e998c57b514d653895715f6009040 --- /dev/null +++ b/new_type_trial_balance/239/239_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_239_dirty_3.png", + "labels": [ + { + "text": "Barnett Ltd", + "bbox": [ + 153, + 182, + 387, + 231 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $53,078.76", + "bbox": [ + 158, + 362, + 1463, + 418 + ] + }, + { + "text": "Outstanding Receivables $50,743.72", + "bbox": [ + 159, + 415, + 1464, + 471 + ] + }, + { + "text": "Stock on Hand $48,505.97", + "bbox": [ + 160, + 469, + 1465, + 525 + ] + }, + { + "text": "Fixed Assets and Equipment $321,218.76", + "bbox": [ + 161, + 522, + 1466, + 578 + ] + }, + { + "text": "Vendor Liabilities $24,973.35", + "bbox": [ + 162, + 575, + 1467, + 632 + ] + }, + { + "text": "Borrowings and Notes Payable $194,153.48", + "bbox": [ + 163, + 629, + 1469, + 685 + ] + }, + { + "text": "Share Capital $179,254.18", + "bbox": [ + 164, + 682, + 1470, + 738 + ] + }, + { + "text": "Sales Revenue $555,385.34", + "bbox": [ + 165, + 736, + 1471, + 792 + ] + }, + { + "text": "Compensation Expense $98,839.22", + "bbox": [ + 167, + 789, + 1472, + 845 + ] + }, + { + "text": "Facility and Utility Costs $21,360.56", + "bbox": [ + 168, + 843, + 1473, + 899 + ] + }, + { + "text": "Final Adjusted Balance $1,547,513.34", + "bbox": [ + 252, + 898, + 1474, + 952 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/239/239_dirty_4.json b/new_type_trial_balance/239/239_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..9e422e986d5203898e5ce3adb34d8156d288f703 --- /dev/null +++ b/new_type_trial_balance/239/239_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_239_dirty_4.png", + "labels": [ + { + "text": "Barnett Ltd", + "bbox": [ + 162, + 184, + 395, + 230 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $53,078.76", + "bbox": [ + 164, + 386, + 1469, + 430 + ] + }, + { + "text": "Outstanding Receivables $50,743.72", + "bbox": [ + 165, + 439, + 1470, + 483 + ] + }, + { + "text": "Stock on Hand $48,505.97", + "bbox": [ + 165, + 493, + 1471, + 537 + ] + }, + { + "text": "Fixed Assets and Equipment $321,218.76", + "bbox": [ + 166, + 546, + 1471, + 590 + ] + }, + { + "text": "Vendor Liabilities $24,973.35", + "bbox": [ + 167, + 599, + 1472, + 644 + ] + }, + { + "text": "Borrowings and Notes Payable $194,153.48", + "bbox": [ + 167, + 653, + 1473, + 697 + ] + }, + { + "text": "Share Capital $179,254.18", + "bbox": [ + 168, + 706, + 1473, + 750 + ] + }, + { + "text": "Sales Revenue $555,385.34", + "bbox": [ + 169, + 760, + 1474, + 804 + ] + }, + { + "text": "Compensation Expense $98,839.22", + "bbox": [ + 169, + 813, + 1475, + 857 + ] + }, + { + "text": "Facility and Utility Costs $21,360.56", + "bbox": [ + 170, + 867, + 1475, + 911 + ] + }, + { + "text": "Final Adjusted Balance $1,547,513.34", + "bbox": [ + 254, + 922, + 1476, + 965 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/239/239_dirty_5.json b/new_type_trial_balance/239/239_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..053b2fe16d8c84fc5a78d262298d3033ec545d4c --- /dev/null +++ b/new_type_trial_balance/239/239_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_239_dirty_5.png", + "labels": [ + { + "text": "Barnett Ltd", + "bbox": [ + 172, + 175, + 405, + 220 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $53,078.76", + "bbox": [ + 172, + 392, + 1477, + 424 + ] + }, + { + "text": "Outstanding Receivables $50,743.72", + "bbox": [ + 172, + 445, + 1477, + 477 + ] + }, + { + "text": "Stock on Hand $48,505.97", + "bbox": [ + 172, + 499, + 1477, + 531 + ] + }, + { + "text": "Fixed Assets and Equipment $321,218.76", + "bbox": [ + 172, + 552, + 1477, + 584 + ] + }, + { + "text": "Vendor Liabilities $24,973.35", + "bbox": [ + 172, + 605, + 1477, + 638 + ] + }, + { + "text": "Borrowings and Notes Payable $194,153.48", + "bbox": [ + 173, + 659, + 1478, + 691 + ] + }, + { + "text": "Share Capital $179,254.18", + "bbox": [ + 173, + 712, + 1478, + 744 + ] + }, + { + "text": "Sales Revenue $555,385.34", + "bbox": [ + 173, + 766, + 1478, + 798 + ] + }, + { + "text": "Compensation Expense $98,839.22", + "bbox": [ + 173, + 819, + 1478, + 851 + ] + }, + { + "text": "Facility and Utility Costs $21,360.56", + "bbox": [ + 173, + 873, + 1478, + 905 + ] + }, + { + "text": "Final Adjusted Balance $1,547,513.34", + "bbox": [ + 256, + 928, + 1478, + 960 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/239/239_pdf.json b/new_type_trial_balance/239/239_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..98bd46dd3f7cb6deba69d9b31e4480dc8c0ed36b --- /dev/null +++ b/new_type_trial_balance/239/239_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_239.pdf", + "labels": [ + { + "text": "Barnett Ltd", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 146.68766325, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $53,078.76", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.5734077499999, + 152.40670650000004 + ] + }, + { + "text": "Outstanding Receivables $50,743.72", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock on Hand $48,505.97", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.5734077499999, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets and Equipment $321,218.76", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Vendor Liabilities $24,973.35", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Borrowings and Notes Payable $194,153.48", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Share Capital $179,254.18", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Sales Revenue $555,385.34", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Compensation Expense $98,839.22", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.5734077499999, + 306.25045650000004 + ] + }, + { + "text": "Facility and Utility Costs $21,360.56", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Final Adjusted Balance $1,547,513.34", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/262/262.json b/new_type_trial_balance/262/262.json new file mode 100644 index 0000000000000000000000000000000000000000..053b663894af42c6b0e7f3bbb22bea198463931e --- /dev/null +++ b/new_type_trial_balance/262/262.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_262.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Parker-Little", + "bbox_px": [ + 165.89, + 182.64, + 421.53, + 228.52 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $71,447.56", + "bbox_px": [ + 167.69, + 388.75, + 1473.11, + 428.84 + ] + }, + { + "text": "Outstanding Receivables $80,174.97", + "bbox_px": [ + 168.13, + 442.17, + 1473.55, + 482.26 + ] + }, + { + "text": "Stock on Hand $114,854.41", + "bbox_px": [ + 168.58, + 495.58, + 1474.03, + 535.67 + ] + }, + { + "text": "Fixed Assets $491,565.16", + "bbox_px": [ + 169.03, + 549.0, + 1474.44, + 589.09 + ] + }, + { + "text": "Vendor Liabilities $65,387.70", + "bbox_px": [ + 169.47, + 602.42, + 1474.9, + 642.51 + ] + }, + { + "text": "Debt Instruments $127,910.63", + "bbox_px": [ + 169.92, + 655.83, + 1475.34, + 695.92 + ] + }, + { + "text": "Share Capital $190,855.97", + "bbox_px": [ + 170.37, + 709.25, + 1475.79, + 749.34 + ] + }, + { + "text": "Income $390,247.86", + "bbox_px": [ + 170.81, + 762.67, + 1476.23, + 802.75 + ] + }, + { + "text": "Personnel Costs $127,670.54", + "bbox_px": [ + 171.26, + 816.08, + 1476.68, + 856.17 + ] + }, + { + "text": "Operational Expenses $31,851.72", + "bbox_px": [ + 171.71, + 869.5, + 1477.13, + 909.59 + ] + }, + { + "text": "Net Adjusted Balance $1,691,966.52", + "bbox_px": [ + 255.5, + 925.0, + 1477.59, + 964.39 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/262/262.pdf b/new_type_trial_balance/262/262.pdf new file mode 100644 index 0000000000000000000000000000000000000000..0e91d44ef2046479ea4277e0b47f235b18413e6b Binary files /dev/null and b/new_type_trial_balance/262/262.pdf differ diff --git a/new_type_trial_balance/262/262.xlsx b/new_type_trial_balance/262/262.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..be9e32dcde4ab47f0cd04d78d4acc233efb00585 Binary files /dev/null and b/new_type_trial_balance/262/262.xlsx differ diff --git a/new_type_trial_balance/262/262_dirty_1.json b/new_type_trial_balance/262/262_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..3712debebc2f028f3185c89595ce78bb30eeae30 --- /dev/null +++ b/new_type_trial_balance/262/262_dirty_1.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_262_dirty_1.png", + "labels": [ + { + "text": "Parker-Little", + "bbox": [ + 158, + 181, + 414, + 229 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $71,447.56", + "bbox": [ + 162, + 370, + 1467, + 419 + ] + }, + { + "text": "Outstanding Receivables $80,174.97", + "bbox": [ + 162, + 423, + 1468, + 472 + ] + }, + { + "text": "Stock on Hand $114,854.41", + "bbox": [ + 163, + 477, + 1469, + 526 + ] + }, + { + "text": "Fixed Assets $491,565.16", + "bbox": [ + 164, + 530, + 1469, + 579 + ] + }, + { + "text": "Vendor Liabilities $65,387.70", + "bbox": [ + 165, + 583, + 1470, + 633 + ] + }, + { + "text": "Debt Instruments $127,910.63", + "bbox": [ + 166, + 637, + 1471, + 686 + ] + }, + { + "text": "Share Capital $190,855.97", + "bbox": [ + 167, + 690, + 1472, + 739 + ] + }, + { + "text": "Income $390,247.86", + "bbox": [ + 167, + 744, + 1473, + 793 + ] + }, + { + "text": "Personnel Costs $127,670.54", + "bbox": [ + 168, + 797, + 1474, + 846 + ] + }, + { + "text": "Operational Expenses $31,851.72", + "bbox": [ + 169, + 851, + 1474, + 900 + ] + }, + { + "text": "Net Adjusted Balance $1,691,966.52", + "bbox": [ + 253, + 906, + 1475, + 953 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/262/262_dirty_2.json b/new_type_trial_balance/262/262_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..b0ce17e008401cf3826df3374e29b0041176b53d --- /dev/null +++ b/new_type_trial_balance/262/262_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_262_dirty_2.png", + "labels": [ + { + "text": "Parker-Little", + "bbox": [ + 160, + 181, + 416, + 228 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $71,447.56", + "bbox": [ + 163, + 375, + 1468, + 421 + ] + }, + { + "text": "Outstanding Receivables $80,174.97", + "bbox": [ + 164, + 428, + 1469, + 474 + ] + }, + { + "text": "Stock on Hand $114,854.41", + "bbox": [ + 165, + 482, + 1470, + 528 + ] + }, + { + "text": "Fixed Assets $491,565.16", + "bbox": [ + 165, + 535, + 1471, + 581 + ] + }, + { + "text": "Vendor Liabilities $65,387.70", + "bbox": [ + 166, + 588, + 1471, + 635 + ] + }, + { + "text": "Debt Instruments $127,910.63", + "bbox": [ + 167, + 642, + 1472, + 688 + ] + }, + { + "text": "Share Capital $190,855.97", + "bbox": [ + 167, + 695, + 1473, + 741 + ] + }, + { + "text": "Income $390,247.86", + "bbox": [ + 168, + 749, + 1473, + 795 + ] + }, + { + "text": "Personnel Costs $127,670.54", + "bbox": [ + 169, + 802, + 1474, + 848 + ] + }, + { + "text": "Operational Expenses $31,851.72", + "bbox": [ + 170, + 856, + 1475, + 902 + ] + }, + { + "text": "Net Adjusted Balance $1,691,966.52", + "bbox": [ + 253, + 911, + 1476, + 956 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/262/262_dirty_3.json b/new_type_trial_balance/262/262_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..4f73034cdb22b155b656cae0aab62314f4a316eb --- /dev/null +++ b/new_type_trial_balance/262/262_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_262_dirty_3.png", + "labels": [ + { + "text": "Parker-Little", + "bbox": [ + 166, + 178, + 422, + 224 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $71,447.56", + "bbox": [ + 168, + 389, + 1473, + 427 + ] + }, + { + "text": "Outstanding Receivables $80,174.97", + "bbox": [ + 168, + 442, + 1473, + 480 + ] + }, + { + "text": "Stock on Hand $114,854.41", + "bbox": [ + 169, + 496, + 1474, + 534 + ] + }, + { + "text": "Fixed Assets $491,565.16", + "bbox": [ + 169, + 549, + 1474, + 587 + ] + }, + { + "text": "Vendor Liabilities $65,387.70", + "bbox": [ + 169, + 602, + 1475, + 641 + ] + }, + { + "text": "Debt Instruments $127,910.63", + "bbox": [ + 170, + 656, + 1475, + 694 + ] + }, + { + "text": "Share Capital $190,855.97", + "bbox": [ + 170, + 709, + 1475, + 747 + ] + }, + { + "text": "Income $390,247.86", + "bbox": [ + 171, + 763, + 1476, + 801 + ] + }, + { + "text": "Personnel Costs $127,670.54", + "bbox": [ + 171, + 816, + 1476, + 854 + ] + }, + { + "text": "Operational Expenses $31,851.72", + "bbox": [ + 171, + 870, + 1477, + 908 + ] + }, + { + "text": "Net Adjusted Balance $1,691,966.52", + "bbox": [ + 255, + 925, + 1477, + 963 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/262/262_dirty_4.json b/new_type_trial_balance/262/262_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..ee4f302d12e09dd3776c7976430647919d23c955 --- /dev/null +++ b/new_type_trial_balance/262/262_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_262_dirty_4.png", + "labels": [ + { + "text": "Parker-Little", + "bbox": [ + 192, + 168, + 448, + 217 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $71,447.56", + "bbox": [ + 188, + 389, + 1493, + 443 + ] + }, + { + "text": "Outstanding Receivables $80,174.97", + "bbox": [ + 187, + 442, + 1492, + 496 + ] + }, + { + "text": "Stock on Hand $114,854.41", + "bbox": [ + 186, + 496, + 1491, + 550 + ] + }, + { + "text": "Fixed Assets $491,565.16", + "bbox": [ + 185, + 549, + 1490, + 603 + ] + }, + { + "text": "Vendor Liabilities $65,387.70", + "bbox": [ + 184, + 602, + 1489, + 657 + ] + }, + { + "text": "Debt Instruments $127,910.63", + "bbox": [ + 183, + 656, + 1488, + 710 + ] + }, + { + "text": "Share Capital $190,855.97", + "bbox": [ + 182, + 709, + 1487, + 763 + ] + }, + { + "text": "Income $390,247.86", + "bbox": [ + 181, + 763, + 1486, + 817 + ] + }, + { + "text": "Personnel Costs $127,670.54", + "bbox": [ + 180, + 816, + 1485, + 870 + ] + }, + { + "text": "Operational Expenses $31,851.72", + "bbox": [ + 179, + 870, + 1484, + 924 + ] + }, + { + "text": "Net Adjusted Balance $1,691,966.52", + "bbox": [ + 261, + 926, + 1483, + 979 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/262/262_dirty_5.json b/new_type_trial_balance/262/262_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..fbc940746836230bb358ca9aab08f7de926ba2db --- /dev/null +++ b/new_type_trial_balance/262/262_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_262_dirty_5.png", + "labels": [ + { + "text": "Parker-Little", + "bbox": [ + 168, + 179, + 423, + 224 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $71,447.56", + "bbox": [ + 169, + 383, + 1474, + 419 + ] + }, + { + "text": "Outstanding Receivables $80,174.97", + "bbox": [ + 169, + 436, + 1474, + 472 + ] + }, + { + "text": "Stock on Hand $114,854.41", + "bbox": [ + 170, + 490, + 1475, + 526 + ] + }, + { + "text": "Fixed Assets $491,565.16", + "bbox": [ + 170, + 543, + 1475, + 579 + ] + }, + { + "text": "Vendor Liabilities $65,387.70", + "bbox": [ + 170, + 596, + 1475, + 633 + ] + }, + { + "text": "Debt Instruments $127,910.63", + "bbox": [ + 171, + 650, + 1476, + 686 + ] + }, + { + "text": "Share Capital $190,855.97", + "bbox": [ + 171, + 703, + 1476, + 739 + ] + }, + { + "text": "Income $390,247.86", + "bbox": [ + 171, + 757, + 1476, + 793 + ] + }, + { + "text": "Personnel Costs $127,670.54", + "bbox": [ + 172, + 810, + 1477, + 846 + ] + }, + { + "text": "Operational Expenses $31,851.72", + "bbox": [ + 172, + 864, + 1477, + 900 + ] + }, + { + "text": "Net Adjusted Balance $1,691,966.52", + "bbox": [ + 255, + 919, + 1477, + 955 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/262/262_pdf.json b/new_type_trial_balance/262/262_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..cf2d0e4ac473c8f2f4d07a8d2815e09f13a6046a --- /dev/null +++ b/new_type_trial_balance/262/262_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_262.pdf", + "labels": [ + { + "text": "Parker-Little", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 154.59416325, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $71,447.56", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.5734077499999, + 152.40670650000004 + ] + }, + { + "text": "Outstanding Receivables $80,174.97", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock on Hand $114,854.41", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.58460525, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $491,565.16", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Vendor Liabilities $65,387.70", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Debt Instruments $127,910.63", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Share Capital $190,855.97", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Income $390,247.86", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Personnel Costs $127,670.54", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.571808, + 306.25045650000004 + ] + }, + { + "text": "Operational Expenses $31,851.72", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Net Adjusted Balance $1,691,966.52", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/281/281.json b/new_type_trial_balance/281/281.json new file mode 100644 index 0000000000000000000000000000000000000000..7fff3033f83c7447952f0c3872a0bb3985955504 --- /dev/null +++ b/new_type_trial_balance/281/281.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_281.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Thompson-Wright", + "bbox_px": [ + 165.03, + 181.88, + 541.32, + 229.1 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $132,337.44", + "bbox_px": [ + 167.01, + 388.19, + 1472.45, + 429.42 + ] + }, + { + "text": "Outstanding Invoices $74,695.39", + "bbox_px": [ + 167.51, + 441.6, + 1472.94, + 482.83 + ] + }, + { + "text": "Stock on Hand $79,678.63", + "bbox_px": [ + 168.0, + 495.02, + 1473.44, + 536.25 + ] + }, + { + "text": "Fixed Assets $230,827.26", + "bbox_px": [ + 168.49, + 548.44, + 1473.93, + 589.67 + ] + }, + { + "text": "Unpaid Liabilities $20,511.09", + "bbox_px": [ + 168.99, + 601.85, + 1474.46, + 643.08 + ] + }, + { + "text": "Debts Due $204,374.55", + "bbox_px": [ + 169.48, + 655.27, + 1474.91, + 696.5 + ] + }, + { + "text": "Equity Shares $302,740.27", + "bbox_px": [ + 169.98, + 708.68, + 1475.41, + 749.91 + ] + }, + { + "text": "Income $488,733.97", + "bbox_px": [ + 170.47, + 762.1, + 1475.9, + 803.33 + ] + }, + { + "text": "Personnel Costs $112,979.15", + "bbox_px": [ + 170.96, + 815.51, + 1476.43, + 856.74 + ] + }, + { + "text": "Lease and Service Charges $30,373.32", + "bbox_px": [ + 171.46, + 868.93, + 1476.89, + 910.16 + ] + }, + { + "text": "Final Balanced Total $1,677,251.07", + "bbox_px": [ + 255.3, + 924.43, + 1477.4, + 964.89 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/281/281.pdf b/new_type_trial_balance/281/281.pdf new file mode 100644 index 0000000000000000000000000000000000000000..f98dca11cb6fa9dd896c58f0d039402b3a7103ae Binary files /dev/null and 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$79,678.63", + "bbox": [ + 164, + 491, + 1469, + 539 + ] + }, + { + "text": "Fixed Assets $230,827.26", + "bbox": [ + 165, + 544, + 1470, + 592 + ] + }, + { + "text": "Unpaid Liabilities $20,511.09", + "bbox": [ + 166, + 597, + 1471, + 646 + ] + }, + { + "text": "Debts Due $204,374.55", + "bbox": [ + 166, + 651, + 1472, + 699 + ] + }, + { + "text": "Equity Shares $302,740.27", + "bbox": [ + 167, + 704, + 1472, + 752 + ] + }, + { + "text": "Income $488,733.97", + "bbox": [ + 168, + 758, + 1473, + 806 + ] + }, + { + "text": "Personnel Costs $112,979.15", + "bbox": [ + 169, + 811, + 1474, + 859 + ] + }, + { + "text": "Lease and Service Charges $30,373.32", + "bbox": [ + 169, + 865, + 1475, + 913 + ] + }, + { + "text": "Final Balanced Total $1,677,251.07", + "bbox": [ + 253, + 920, + 1475, + 967 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/281/281_dirty_2.json b/new_type_trial_balance/281/281_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..f0e9ee9d08f27f515ccb859798accb1d2659fcaf --- /dev/null +++ b/new_type_trial_balance/281/281_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_281_dirty_2.png", + "labels": [ + { + "text": "Thompson-Wright", + "bbox": [ + 179, + 170, + 555, + 216 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $132,337.44", + "bbox": [ + 178, + 379, + 1483, + 415 + ] + }, + { + "text": "Outstanding Invoices $74,695.39", + "bbox": [ + 177, + 432, + 1483, + 468 + ] + }, + { + "text": "Stock on Hand $79,678.63", + "bbox": [ + 177, + 486, + 1482, + 522 + ] + }, + { + "text": "Fixed Assets $230,827.26", + "bbox": [ + 177, + 539, + 1482, + 575 + ] + }, + { + "text": "Unpaid Liabilities $20,511.09", + "bbox": [ + 176, + 592, + 1482, + 629 + ] + }, + { + "text": "Debts Due $204,374.55", + "bbox": [ + 176, + 646, + 1481, + 682 + ] + }, + { + "text": "Equity Shares $302,740.27", + "bbox": [ + 176, + 699, + 1481, + 735 + ] + }, + { + "text": "Income $488,733.97", + "bbox": [ + 176, + 753, + 1481, + 789 + ] + }, + { + "text": "Personnel Costs $112,979.15", + "bbox": [ + 175, + 806, + 1480, + 842 + ] + }, + { + "text": "Lease and Service Charges $30,373.32", + "bbox": [ + 175, + 860, + 1480, + 896 + ] + }, + { + "text": "Final Balanced Total $1,677,251.07", + "bbox": [ + 258, + 915, + 1480, + 951 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/281/281_dirty_3.json b/new_type_trial_balance/281/281_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..c2083cf6f87c9e565bfed5e28612ff9b3e4c4923 --- /dev/null +++ b/new_type_trial_balance/281/281_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_281_dirty_3.png", + "labels": [ + { + "text": "Thompson-Wright", + "bbox": [ + 185, + 173, + 561, + 221 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $132,337.44", + "bbox": [ + 183, + 386, + 1488, + 430 + ] + }, + { + "text": "Outstanding Invoices $74,695.39", + "bbox": [ + 182, + 439, + 1487, + 483 + ] + }, + { + "text": "Stock on Hand $79,678.63", + "bbox": [ + 181, + 493, + 1486, + 537 + ] + }, + { + "text": "Fixed Assets $230,827.26", + "bbox": [ + 181, + 546, + 1486, + 590 + ] + }, + { + "text": "Unpaid Liabilities $20,511.09", + "bbox": [ + 180, + 599, + 1485, + 644 + ] + }, + { + "text": "Debts Due $204,374.55", + "bbox": [ + 179, + 653, + 1485, + 697 + ] + }, + { + "text": "Equity Shares $302,740.27", + "bbox": [ + 179, + 706, + 1484, + 750 + ] + }, + { + "text": "Income $488,733.97", + "bbox": [ + 178, + 760, + 1483, + 804 + ] + }, + { + "text": "Personnel Costs $112,979.15", + "bbox": [ + 177, + 813, + 1483, + 857 + ] + }, + { + "text": "Lease and Service Charges $30,373.32", + "bbox": [ + 177, + 867, + 1482, + 911 + ] + }, + { + "text": "Final Balanced Total $1,677,251.07", + "bbox": [ + 259, + 923, + 1481, + 966 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/281/281_dirty_4.json b/new_type_trial_balance/281/281_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..4f1d25a4ffa09d929ebe0cbab2a2cba7a7e21f1f --- /dev/null +++ b/new_type_trial_balance/281/281_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_281_dirty_4.png", + "labels": [ + { + "text": "Thompson-Wright", + "bbox": [ + 165, + 178, + 541, + 225 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $132,337.44", + "bbox": [ + 167, + 388, + 1472, + 428 + ] + }, + { + "text": "Outstanding Invoices $74,695.39", + "bbox": [ + 167, + 441, + 1473, + 481 + ] + }, + { + "text": "Stock on Hand $79,678.63", + "bbox": [ + 168, + 495, + 1473, + 535 + ] + }, + { + "text": "Fixed Assets $230,827.26", + "bbox": [ + 168, + 548, + 1473, + 588 + ] + }, + { + "text": "Unpaid Liabilities $20,511.09", + "bbox": [ + 169, + 601, + 1474, + 642 + ] + }, + { + "text": "Debts Due $204,374.55", + "bbox": [ + 169, + 655, + 1474, + 695 + ] + }, + { + "text": "Equity Shares $302,740.27", + "bbox": [ + 170, + 708, + 1475, + 748 + ] + }, + { + "text": "Income $488,733.97", + "bbox": [ + 170, + 762, + 1475, + 802 + ] + }, + { + "text": "Personnel Costs $112,979.15", + "bbox": [ + 171, + 815, + 1476, + 855 + ] + }, + { + "text": "Lease and Service Charges $30,373.32", + "bbox": [ + 171, + 869, + 1476, + 909 + ] + }, + { + "text": "Final Balanced Total $1,677,251.07", + "bbox": [ + 254, + 924, + 1477, + 963 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/281/281_dirty_5.json b/new_type_trial_balance/281/281_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..d0465d87ef4ef0b0d5698e6833945cee04d4b21a --- /dev/null +++ b/new_type_trial_balance/281/281_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_281_dirty_5.png", + "labels": [ + { + "text": "Thompson-Wright", + "bbox": [ + 187, + 175, + 563, + 224 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $132,337.44", + "bbox": [ + 184, + 398, + 1489, + 445 + ] + }, + { + "text": "Outstanding Invoices $74,695.39", + "bbox": [ + 183, + 451, + 1488, + 498 + ] + }, + { + "text": "Stock on Hand $79,678.63", + "bbox": [ + 182, + 505, + 1488, + 552 + ] + }, + { + "text": "Fixed Assets $230,827.26", + "bbox": [ + 182, + 558, + 1487, + 605 + ] + }, + { + "text": "Unpaid Liabilities $20,511.09", + "bbox": [ + 181, + 611, + 1486, + 659 + ] + }, + { + "text": "Debts Due $204,374.55", + "bbox": [ + 180, + 665, + 1485, + 712 + ] + }, + { + "text": "Equity Shares $302,740.27", + "bbox": [ + 179, + 718, + 1485, + 765 + ] + }, + { + "text": "Income $488,733.97", + "bbox": [ + 179, + 772, + 1484, + 819 + ] + }, + { + "text": "Personnel Costs $112,979.15", + "bbox": [ + 178, + 825, + 1483, + 872 + ] + }, + { + "text": "Lease and Service Charges $30,373.32", + "bbox": [ + 177, + 879, + 1482, + 926 + ] + }, + { + "text": "Final Balanced Total $1,677,251.07", + "bbox": [ + 259, + 935, + 1482, + 981 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/281/281_pdf.json b/new_type_trial_balance/281/281_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..50fbbc886cf4d258ea3871cd3c286bfe8c6fa9f9 --- /dev/null +++ b/new_type_trial_balance/281/281_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_281.pdf", + "labels": [ + { + "text": "Thompson-Wright", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 198.01691325000002, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $132,337.44", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.571808, + 152.40670650000004 + ] + }, + { + "text": "Outstanding Invoices $74,695.39", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock on Hand $79,678.63", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.5734077499999, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $230,827.26", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Unpaid Liabilities $20,511.09", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5862042499999, + 229.32858150000004 + ] + }, + { + "text": "Debts Due $204,374.55", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Equity Shares $302,740.27", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Income $488,733.97", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Personnel Costs $112,979.15", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.58460525, + 306.25045650000004 + ] + }, + { + "text": "Lease and Service Charges $30,373.32", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Final Balanced Total $1,677,251.07", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/336/336.json b/new_type_trial_balance/336/336.json new file mode 100644 index 0000000000000000000000000000000000000000..52b0c147f31e579d337e70ca8a144f746734a232 --- /dev/null +++ b/new_type_trial_balance/336/336.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_336.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Wang-Mcdonald", + "bbox_px": [ + 175.67, + 178.23, + 511.96, + 222.52 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $52,397.42", + "bbox_px": [ + 175.35, + 393.14, + 1480.61, + 424.4 + ] + }, + { + "text": "Outstanding Receivables $40,700.67", + "bbox_px": [ + 175.26, + 446.56, + 1480.53, + 477.82 + ] + }, + { + "text": "Stock on Hand $48,898.22", + "bbox_px": [ + 175.17, + 499.97, + 1480.44, + 531.24 + ] + }, + { + "text": "Fixed Assets and Equipment $378,787.08", + "bbox_px": [ + 175.09, + 553.39, + 1480.35, + 584.65 + ] + }, + { + "text": "Outstanding Liabilities $29,546.34", + "bbox_px": [ + 175.0, + 606.81, + 1480.27, + 638.07 + ] + }, + { + "text": "Debt Instruments $133,905.82", + "bbox_px": [ + 174.92, + 660.23, + 1480.18, + 691.49 + ] + }, + { + "text": "Ordinary Shares $178,764.68", + "bbox_px": [ + 174.83, + 713.65, + 1480.09, + 744.91 + ] + }, + { + "text": "Income from Operations $367,597.13", + "bbox_px": [ + 174.74, + 767.06, + 1480.01, + 798.33 + ] + }, + { + "text": "Compensation Expenses $150,812.79", + "bbox_px": [ + 174.66, + 820.48, + 1479.92, + 851.74 + ] + }, + { + "text": "Lease and Operational Costs $48,976.88", + "bbox_px": [ + 174.57, + 873.9, + 1479.84, + 905.16 + ] + }, + { + "text": "Adjusted Total Balance $1,430,387.03", + "bbox_px": [ + 257.82, + 929.53, + 1479.75, + 960.66 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/336/336.pdf b/new_type_trial_balance/336/336.pdf new file mode 100644 index 0000000000000000000000000000000000000000..6408bdb534f4391e65eb19708dc0f9c8f41271ad Binary files /dev/null and b/new_type_trial_balance/336/336.pdf differ diff --git a/new_type_trial_balance/336/336.xlsx b/new_type_trial_balance/336/336.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..84a561eed7bdb2d1cc747d8eb86bf4a0b61c03c4 Binary files /dev/null and b/new_type_trial_balance/336/336.xlsx differ diff --git a/new_type_trial_balance/336/336_dirty_1.json b/new_type_trial_balance/336/336_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..3d2d26e2ea09aa160091814660833578a7b1368e --- /dev/null +++ b/new_type_trial_balance/336/336_dirty_1.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_336_dirty_1.png", + "labels": [ + { + "text": "Wang-Mcdonald", + "bbox": [ + 163, + 178, + 499, + 226 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $52,397.42", + "bbox": [ + 165, + 374, + 1470, + 418 + ] + }, + { + "text": "Outstanding Receivables $40,700.67", + "bbox": [ + 166, + 427, + 1471, + 471 + ] + }, + { + "text": "Stock on Hand $48,898.22", + "bbox": [ + 166, + 481, + 1472, + 525 + ] + }, + { + "text": "Fixed Assets and Equipment $378,787.08", + "bbox": [ + 167, + 534, + 1472, + 578 + ] + }, + { + "text": "Outstanding Liabilities $29,546.34", + "bbox": [ + 167, + 587, + 1473, + 632 + ] + }, + { + "text": "Debt Instruments $133,905.82", + "bbox": [ + 168, + 641, + 1473, + 685 + ] + }, + { + "text": "Ordinary Shares $178,764.68", + "bbox": [ + 169, + 694, + 1474, + 738 + ] + }, + { + "text": "Income from Operations $367,597.13", + "bbox": [ + 169, + 748, + 1474, + 792 + ] + }, + { + "text": "Compensation Expenses $150,812.79", + "bbox": [ + 170, + 801, + 1475, + 845 + ] + }, + { + "text": "Lease and Operational Costs $48,976.88", + "bbox": [ + 170, + 855, + 1476, + 899 + ] + }, + { + "text": "Adjusted Total Balance $1,430,387.03", + "bbox": [ + 254, + 910, + 1476, + 953 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/336/336_dirty_2.json b/new_type_trial_balance/336/336_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..3284ebacf29dff7f88010a45cdc9ff61a75bb408 --- /dev/null +++ b/new_type_trial_balance/336/336_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_336_dirty_2.png", + "labels": [ + { + "text": "Wang-Mcdonald", + "bbox": [ + 186, + 163, + 523, + 211 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $52,397.42", + "bbox": [ + 183, + 369, + 1489, + 415 + ] + }, + { + "text": "Outstanding Receivables $40,700.67", + "bbox": [ + 183, + 422, + 1488, + 468 + ] + }, + { + "text": "Stock on Hand $48,898.22", + "bbox": [ + 182, + 476, + 1487, + 522 + ] + }, + { + "text": "Fixed Assets and Equipment $378,787.08", + "bbox": [ + 181, + 529, + 1487, + 575 + ] + }, + { + "text": 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80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $52,397.42", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.5734077499999, + 152.40670650000004 + ] + }, + { + "text": "Outstanding Receivables $40,700.67", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock on Hand $48,898.22", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.5734077499999, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets and Equipment $378,787.08", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Outstanding Liabilities $29,546.34", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Debt Instruments $133,905.82", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Ordinary 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Position $1,657,977.80", + "bbox": [ + 255, + 926, + 1477, + 961 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/359/359_dirty_3.json b/new_type_trial_balance/359/359_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..68636d6c95b13cf4389900c7b7c2b714a468da79 --- /dev/null +++ b/new_type_trial_balance/359/359_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_359_dirty_3.png", + "labels": [ + { + "text": "Herrera Group", + "bbox": [ + 155, + 188, + 454, + 238 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $53,501.91", + "bbox": [ + 159, + 392, + 1464, + 446 + ] + }, + { + "text": "Outstanding Invoices $43,909.33", + "bbox": [ + 160, + 445, + 1465, + 499 + ] + }, + { + "text": "Stock on Hand $93,582.76", + "bbox": [ + 161, + 499, + 1466, + 553 + ] + }, + { + "text": "Fixed Assets $369,504.46", + "bbox": [ + 162, + 552, + 1467, + 606 + ] + }, + { + "text": "Vendor Liabilities $60,973.83", + "bbox": 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+ { + "text": "Vendor Liabilities $60,973.83", + "bbox": [ + 171, + 614, + 1476, + 649 + ] + }, + { + "text": "Debt Obligations $183,957.33", + "bbox": [ + 171, + 668, + 1476, + 702 + ] + }, + { + "text": "Equity Shares $245,616.53", + "bbox": [ + 171, + 721, + 1477, + 755 + ] + }, + { + "text": "Income $485,032.64", + "bbox": [ + 172, + 775, + 1477, + 809 + ] + }, + { + "text": "Compensation Costs $81,673.72", + "bbox": [ + 172, + 828, + 1477, + 862 + ] + }, + { + "text": "Facility Costs $40,225.29", + "bbox": [ + 172, + 882, + 1477, + 916 + ] + }, + { + "text": "Net Adjusted Position $1,657,977.80", + "bbox": [ + 255, + 937, + 1478, + 971 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/359/359_pdf.json b/new_type_trial_balance/359/359_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..bdd37eab770bc70f172260c4698cf132eae6b47f --- /dev/null +++ b/new_type_trial_balance/359/359_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_359.pdf", + "labels": [ + { + "text": "Herrera Group", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 170.34416325, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $53,501.91", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.5734077499999, + 152.40670650000004 + ] + }, + { + "text": "Outstanding Invoices $43,909.33", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock on Hand $93,582.76", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.5734077499999, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $369,504.46", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Vendor Liabilities $60,973.83", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Debt Obligations $183,957.33", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Equity Shares $245,616.53", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Income $485,032.64", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Compensation Costs $81,673.72", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.5734077499999, + 306.25045650000004 + ] + }, + { + "text": "Facility Costs $40,225.29", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Net Adjusted Position $1,657,977.80", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/364/364.json b/new_type_trial_balance/364/364.json new file mode 100644 index 0000000000000000000000000000000000000000..5d371db03307cb5648bb91d8d42df547e50c161d --- /dev/null +++ b/new_type_trial_balance/364/364.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_364.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Brown, Long and Guzman", + "bbox_px": [ + 183.56, + 172.85, + 726.03, + 221.98 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $69,785.37", + "bbox_px": [ + 181.58, + 387.75, + 1487.02, + 429.86 + ] + }, + { + "text": "Receivables $62,262.36", + "bbox_px": [ + 181.05, + 441.16, + 1486.49, + 483.27 + ] + }, + { + "text": "Stock of Goods $78,315.14", + "bbox_px": [ + 180.52, + 494.58, + 1485.96, + 536.69 + ] + }, + { + "text": "Fixed Assets $260,418.42", + "bbox_px": [ + 179.99, + 547.99, + 1485.43, + 590.11 + ] + }, + { + "text": "Trade Payables $60,546.87", + "bbox_px": [ + 179.46, + 601.41, + 1484.9, + 643.52 + ] + }, + { + "text": "Borrowings $228,953.88", + "bbox_px": [ + 178.93, + 654.82, + 1484.37, + 696.94 + ] + }, + { + "text": "Share Capital $236,035.20", + "bbox_px": [ + 178.4, + 708.24, + 1483.84, + 750.35 + ] + }, + { + "text": "Sales Revenue $549,486.14", + "bbox_px": [ + 177.87, + 761.66, + 1483.31, + 803.77 + ] + }, + { + "text": "Personnel Costs $120,753.10", + "bbox_px": [ + 177.34, + 815.07, + 1482.78, + 857.18 + ] + }, + { + "text": "Lease and Operating Expenses $22,215.30", + "bbox_px": [ + 176.81, + 868.49, + 1482.26, + 910.6 + ] + }, + { + "text": "Net Adjusted Balance $1,688,771.78", + "bbox_px": [ + 259.59, + 924.81, + 1481.7, + 966.1 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/364/364.pdf b/new_type_trial_balance/364/364.pdf new file mode 100644 index 0000000000000000000000000000000000000000..dc9a2b8dfa2e8a99c82ff75349b206aea7133c74 Binary files /dev/null and b/new_type_trial_balance/364/364.pdf differ diff --git a/new_type_trial_balance/364/364.xlsx b/new_type_trial_balance/364/364.xlsx new file mode 100644 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+ 596 + ] + }, + { + "text": "Trade Payables $60,546.87", + "bbox": [ + 162, + 593, + 1468, + 650 + ] + }, + { + "text": "Borrowings $228,953.88", + "bbox": [ + 163, + 647, + 1469, + 703 + ] + }, + { + "text": "Share Capital $236,035.20", + "bbox": [ + 164, + 700, + 1470, + 756 + ] + }, + { + "text": "Sales Revenue $549,486.14", + "bbox": [ + 166, + 754, + 1471, + 810 + ] + }, + { + "text": "Personnel Costs $120,753.10", + "bbox": [ + 167, + 807, + 1472, + 863 + ] + }, + { + "text": "Lease and Operating Expenses $22,215.30", + "bbox": [ + 168, + 861, + 1473, + 917 + ] + }, + { + "text": "Net Adjusted Balance $1,688,771.78", + "bbox": [ + 252, + 916, + 1474, + 970 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/364/364_dirty_2.json b/new_type_trial_balance/364/364_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..7d42638e736b1b4e87abc96f4d29245169ba224e --- /dev/null +++ b/new_type_trial_balance/364/364_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_364_dirty_2.png", + "labels": [ + { + "text": "Brown, Long and Guzman", + "bbox": [ + 192, + 166, + 735, + 221 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $69,785.37", + "bbox": [ + 188, + 381, + 1493, + 435 + ] + }, + { + "text": "Receivables $62,262.36", + "bbox": [ + 187, + 434, + 1492, + 488 + ] + }, + { + "text": "Stock of Goods $78,315.14", + "bbox": [ + 186, + 488, + 1491, + 542 + ] + }, + { + "text": "Fixed Assets $260,418.42", + "bbox": [ + 185, + 541, + 1490, + 595 + ] + }, + { + "text": "Trade Payables $60,546.87", + "bbox": [ + 184, + 594, + 1489, + 649 + ] + }, + { + "text": "Borrowings $228,953.88", + "bbox": [ + 183, + 648, + 1488, + 702 + ] + }, + { + "text": "Share Capital $236,035.20", + "bbox": [ + 182, + 701, + 1487, + 755 + ] + }, + { + "text": "Sales Revenue $549,486.14", + "bbox": [ + 181, + 755, + 1486, + 809 + ] + }, + { + "text": "Personnel Costs $120,753.10", + "bbox": [ + 180, + 808, + 1485, + 862 + ] + }, + { + "text": "Lease and Operating Expenses $22,215.30", + "bbox": [ + 179, + 862, + 1484, + 916 + ] + }, + { + "text": "Net Adjusted Balance $1,688,771.78", + "bbox": [ + 261, + 918, + 1483, + 971 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/364/364_dirty_3.json b/new_type_trial_balance/364/364_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..59560f8979e1ae4c1ceab9e246e2b6266783fc8e --- /dev/null +++ b/new_type_trial_balance/364/364_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_364_dirty_3.png", + "labels": [ + { + "text": "Brown, Long and Guzman", + "bbox": [ + 178, + 176, + 720, + 222 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $69,785.37", + "bbox": [ + 177, + 391, + 1482, + 425 + ] + }, + { + "text": "Receivables $62,262.36", + "bbox": [ + 176, + 444, + 1482, + 478 + ] + }, + { + "text": "Stock of Goods $78,315.14", + "bbox": [ + 176, + 498, + 1481, + 532 + ] + }, + { + "text": "Fixed Assets $260,418.42", + "bbox": [ + 176, + 551, + 1481, + 585 + ] + }, + { + "text": "Trade Payables $60,546.87", + "bbox": [ + 176, + 604, + 1481, + 639 + ] + }, + { + "text": "Borrowings $228,953.88", + "bbox": [ + 176, + 658, + 1481, + 692 + ] + }, + { + "text": "Share Capital $236,035.20", + "bbox": [ + 175, + 711, + 1480, + 745 + ] + }, + { + "text": "Sales Revenue $549,486.14", + "bbox": [ + 175, + 765, + 1480, + 799 + ] + }, + { + "text": "Personnel Costs $120,753.10", + "bbox": [ + 175, + 818, + 1480, + 852 + ] + }, + { + "text": "Lease and Operating Expenses $22,215.30", + "bbox": [ + 175, + 872, + 1480, + 906 + ] + }, + { + "text": "Net Adjusted Balance $1,688,771.78", + "bbox": [ + 257, + 927, + 1480, + 961 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/364/364_dirty_4.json b/new_type_trial_balance/364/364_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..6b238925a68231d8efecad62e39b2b2b17c54f19 --- /dev/null +++ b/new_type_trial_balance/364/364_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_364_dirty_4.png", + "labels": [ + { + "text": "Brown, Long and Guzman", + "bbox": [ + 171, + 179, + 713, + 224 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $69,785.37", + "bbox": [ + 171, + 392, + 1476, + 424 + ] + }, + { + "text": "Receivables $62,262.36", + "bbox": [ + 171, + 445, + 1476, + 477 + ] + }, + { + "text": "Stock of Goods $78,315.14", + "bbox": [ + 171, + 499, + 1477, + 531 + ] + }, + { + "text": "Fixed Assets $260,418.42", + "bbox": [ + 172, + 552, + 1477, + 584 + ] + }, + { + "text": "Trade Payables $60,546.87", + "bbox": [ + 172, + 605, + 1477, + 638 + ] + }, + { + "text": "Borrowings $228,953.88", + "bbox": [ + 172, + 659, + 1477, + 691 + ] + }, + { + "text": "Share Capital $236,035.20", + "bbox": [ + 172, + 712, + 1477, + 744 + ] + }, + { + "text": "Sales Revenue $549,486.14", + "bbox": [ + 172, + 766, + 1477, + 798 + ] + }, + { + "text": "Personnel Costs $120,753.10", + "bbox": [ + 172, + 819, + 1478, + 851 + ] + }, + { + "text": "Lease and Operating Expenses $22,215.30", + "bbox": [ + 173, + 873, + 1478, + 905 + ] + }, + { + "text": "Net Adjusted Balance $1,688,771.78", + "bbox": [ + 256, + 928, + 1478, + 960 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/364/364_dirty_5.json b/new_type_trial_balance/364/364_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..979540750dd5e3ed6b6abb5b84880a7e37c69090 --- /dev/null +++ b/new_type_trial_balance/364/364_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_364_dirty_5.png", + "labels": [ + { + "text": "Brown, Long and Guzman", + "bbox": [ + 179, + 175, + 721, + 222 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $69,785.37", + "bbox": [ + 178, + 390, + 1483, + 426 + ] + }, + { + "text": "Receivables $62,262.36", + "bbox": [ + 178, + 443, + 1483, + 479 + ] + }, + { + "text": "Stock of Goods $78,315.14", + "bbox": [ + 177, + 497, + 1482, + 533 + ] + }, + { + "text": "Fixed Assets $260,418.42", + "bbox": [ + 177, + 550, + 1482, + 586 + ] + }, + { + "text": "Trade Payables $60,546.87", + "bbox": [ + 177, + 603, + 1482, + 640 + ] + }, + { + "text": "Borrowings $228,953.88", + "bbox": [ + 176, + 657, + 1481, + 693 + ] + }, + { + "text": "Share Capital $236,035.20", + "bbox": [ + 176, + 710, + 1481, + 746 + ] + }, + { + "text": "Sales Revenue $549,486.14", + "bbox": [ + 176, + 764, + 1481, + 800 + ] + }, + { + "text": "Personnel Costs $120,753.10", + "bbox": [ + 175, + 817, + 1481, + 853 + ] + }, + { + "text": "Lease and Operating Expenses $22,215.30", + "bbox": [ + 175, + 871, + 1480, + 907 + ] + }, + { + "text": "Net Adjusted Balance $1,688,771.78", + "bbox": [ + 258, + 926, + 1480, + 962 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/364/364_pdf.json b/new_type_trial_balance/364/364_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..6eaf6d0b6074ffc8c3be0859c1a49bdc05a715a1 --- /dev/null +++ b/new_type_trial_balance/364/364_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_364.pdf", + "labels": [ + { + "text": "Brown, Long and Guzman", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 257.83541325, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $69,785.37", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.5734077499999, + 152.40670650000004 + ] + }, + { + "text": "Receivables $62,262.36", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock of Goods $78,315.14", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.5734077499999, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $260,418.42", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Trade Payables $60,546.87", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Borrowings $228,953.88", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Share Capital $236,035.20", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Sales Revenue $549,486.14", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Personnel Costs $120,753.10", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.571808, + 306.25045650000004 + ] + }, + { + "text": "Lease and Operating Expenses $22,215.30", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Net Adjusted Balance $1,688,771.78", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/384/384.json b/new_type_trial_balance/384/384.json new file mode 100644 index 0000000000000000000000000000000000000000..20fab0c90bdd2799e790c61c04c04d40e0636c19 --- /dev/null +++ b/new_type_trial_balance/384/384.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_384.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Maxwell Inc", + "bbox_px": [ + 177.25, + 177.14, + 420.56, + 221.69 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $88,106.18", + "bbox_px": [ + 176.6, + 392.05, + 1481.91, + 425.49 + ] + }, + { + "text": "Trade Receivables $53,958.72", + "bbox_px": [ + 176.42, + 445.47, + 1481.73, + 478.91 + ] + }, + { + "text": "Merchandise Inventory $75,707.32", + "bbox_px": [ + 176.24, + 498.88, + 1481.56, + 532.33 + ] + }, + { + "text": "Fixed Assets $237,815.58", + "bbox_px": [ + 176.07, + 552.3, + 1481.38, + 585.75 + ] + }, + { + "text": "Trade Payables $49,691.43", + "bbox_px": [ + 175.89, + 605.72, + 1481.21, + 639.17 + ] + }, + { + "text": "Borrowings $146,991.86", + "bbox_px": [ + 175.72, + 659.14, + 1481.03, + 692.58 + ] + }, + { + "text": "Ordinary Shares $208,959.01", + "bbox_px": [ + 175.54, + 712.56, + 1480.85, + 746.0 + ] + }, + { + "text": "Sales Revenue $323,469.96", + "bbox_px": [ + 175.37, + 765.97, + 1480.68, + 799.42 + ] + }, + { + "text": "Compensation Expense $95,093.55", + "bbox_px": [ + 175.19, + 819.39, + 1480.51, + 852.84 + ] + }, + { + "text": "Facility Costs $35,639.70", + "bbox_px": [ + 175.02, + 872.81, + 1480.33, + 906.25 + ] + }, + { + "text": "Net Adjusted Balance $1,315,433.31", + "bbox_px": [ + 258.17, + 928.58, + 1480.15, + 961.76 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/384/384.pdf b/new_type_trial_balance/384/384.pdf new 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1472, + 428 + ] + }, + { + "text": "Trade Receivables $53,958.72", + "bbox": [ + 167, + 441, + 1472, + 481 + ] + }, + { + "text": "Merchandise Inventory $75,707.32", + "bbox": [ + 168, + 495, + 1473, + 535 + ] + }, + { + "text": "Fixed Assets $237,815.58", + "bbox": [ + 168, + 548, + 1473, + 588 + ] + }, + { + "text": "Trade Payables $49,691.43", + "bbox": [ + 169, + 601, + 1474, + 642 + ] + }, + { + "text": "Borrowings $146,991.86", + "bbox": [ + 169, + 655, + 1474, + 695 + ] + }, + { + "text": "Ordinary Shares $208,959.01", + "bbox": [ + 170, + 708, + 1475, + 748 + ] + }, + { + "text": "Sales Revenue $323,469.96", + "bbox": [ + 170, + 762, + 1475, + 802 + ] + }, + { + "text": "Compensation Expense $95,093.55", + "bbox": [ + 171, + 815, + 1476, + 855 + ] + }, + { + "text": "Facility Costs $35,639.70", + "bbox": [ + 171, + 869, + 1476, + 909 + ] + }, + { + "text": "Net Adjusted Balance $1,315,433.31", + "bbox": [ + 254, + 924, + 1477, + 963 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/384/384_dirty_2.json b/new_type_trial_balance/384/384_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..ad3a6bfc47d6b1fe92ca1f557f137bc793f35afb --- /dev/null +++ b/new_type_trial_balance/384/384_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_384_dirty_2.png", + "labels": [ + { + "text": "Maxwell Inc", + "bbox": [ + 160, + 184, + 403, + 232 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $88,106.18", + "bbox": [ + 163, + 384, + 1468, + 432 + ] + }, + { + "text": "Trade Receivables $53,958.72", + "bbox": [ + 163, + 437, + 1469, + 485 + ] + }, + { + "text": "Merchandise Inventory $75,707.32", + "bbox": [ + 164, + 491, + 1469, + 539 + ] + }, + { + "text": "Fixed Assets $237,815.58", + "bbox": [ + 165, + 544, + 1470, + 592 + ] + }, + { + "text": "Trade Payables $49,691.43", + "bbox": [ + 166, + 597, + 1471, + 646 + ] + }, + { + "text": "Borrowings $146,991.86", + "bbox": [ 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$1,315,433.31", + "bbox": [ + 257, + 941, + 1479, + 971 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/384/384_dirty_4.json b/new_type_trial_balance/384/384_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..75d3e206ff7430da5114fcf2789a687ae5c91162 --- /dev/null +++ b/new_type_trial_balance/384/384_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_384_dirty_4.png", + "labels": [ + { + "text": "Maxwell Inc", + "bbox": [ + 160, + 184, + 403, + 232 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $88,106.18", + "bbox": [ + 163, + 384, + 1468, + 432 + ] + }, + { + "text": "Trade Receivables $53,958.72", + "bbox": [ + 163, + 437, + 1469, + 485 + ] + }, + { + "text": "Merchandise Inventory $75,707.32", + "bbox": [ + 164, + 491, + 1470, + 539 + ] + }, + { + "text": "Fixed Assets $237,815.58", + "bbox": [ + 165, + 544, + 1470, + 592 + ] + }, + { + "text": "Trade Payables $49,691.43", + 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+ "labels": [ + { + "text": "Maxwell Inc", + "bbox": [ + 174, + 174, + 417, + 218 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $88,106.18", + "bbox": [ + 174, + 393, + 1479, + 423 + ] + }, + { + "text": "Trade Receivables $53,958.72", + "bbox": [ + 174, + 446, + 1479, + 476 + ] + }, + { + "text": "Merchandise Inventory $75,707.32", + "bbox": [ + 174, + 500, + 1479, + 530 + ] + }, + { + "text": "Fixed Assets $237,815.58", + "bbox": [ + 174, + 553, + 1479, + 583 + ] + }, + { + "text": "Trade Payables $49,691.43", + "bbox": [ + 174, + 606, + 1479, + 637 + ] + }, + { + "text": "Borrowings $146,991.86", + "bbox": [ + 174, + 660, + 1479, + 690 + ] + }, + { + "text": "Ordinary Shares $208,959.01", + "bbox": [ + 174, + 713, + 1479, + 743 + ] + }, + { + "text": "Sales Revenue $323,469.96", + "bbox": [ + 174, + 767, + 1479, + 797 + ] + }, + { + "text": "Compensation Expense $95,093.55", + "bbox": [ + 174, + 820, + 1479, + 850 + ] + }, + { + "text": "Facility Costs 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171.63717525000004 + ] + }, + { + "text": "Merchandise Inventory $75,707.32", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.5734077499999, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $237,815.58", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Trade Payables $49,691.43", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Borrowings $146,991.86", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Ordinary Shares $208,959.01", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Sales Revenue $323,469.96", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Compensation Expense $95,093.55", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.5734077499999, + 306.25045650000004 + ] + }, + { + "text": "Facility Costs $35,639.70", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Net Adjusted Balance $1,315,433.31", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/409/409.json b/new_type_trial_balance/409/409.json new file mode 100644 index 0000000000000000000000000000000000000000..6013b56de48c934a844b722e2ade0676bbfe2b98 --- /dev/null +++ b/new_type_trial_balance/409/409.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_409.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Morris-Watkins", + "bbox_px": [ + 182.01, + 173.9, + 496.75, + 220.26 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $126,838.05", + "bbox_px": [ + 180.35, + 388.8, + 1485.76, + 428.78 + ] + }, + { + "text": "Customer Receivables $55,223.61", + "bbox_px": [ + 179.91, + 442.22, + 1485.33, + 482.2 + ] + }, + { + "text": "Stock of Goods $64,566.07", + "bbox_px": [ + 179.46, + 495.63, + 1484.88, + 535.62 + ] + }, + { + "text": "Fixed Assets and Equipment $315,442.74", + "bbox_px": [ + 179.02, + 549.05, + 1484.44, + 589.03 + ] + }, + { + "text": "Vendor Payables $40,662.05", + "bbox_px": [ + 178.58, + 602.47, + 1484.0, + 642.45 + ] + }, + { + "text": "Borrowings and Notes Payable $172,521.51", + "bbox_px": [ + 178.13, + 655.88, + 1483.55, + 695.86 + ] + }, + { + "text": "Ordinary Shares $171,077.36", + "bbox_px": [ + 177.69, + 709.3, + 1483.11, + 749.28 + ] + }, + { + "text": "Sales Revenue $315,760.57", + "bbox_px": [ + 177.25, + 762.72, + 1482.67, + 802.7 + ] + }, + { + "text": "Compensation Expense $141,955.63", + "bbox_px": [ + 176.81, + 816.13, + 1482.22, + 856.11 + ] + }, + { + "text": "Lease and Operating Expenses $31,054.52", + "bbox_px": [ + 176.36, + 869.55, + 1481.78, + 909.53 + ] + }, + { + "text": "Final Adjusted Total $1,435,102.11", + "bbox_px": [ + 259.23, + 925.74, + 1481.32, + 965.03 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/409/409.pdf b/new_type_trial_balance/409/409.pdf new file mode 100644 index 0000000000000000000000000000000000000000..c9f744879ef89ec2e1734b75e578b671447caa6b Binary files /dev/null and b/new_type_trial_balance/409/409.pdf differ diff --git a/new_type_trial_balance/409/409.xlsx b/new_type_trial_balance/409/409.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..f41a852a8cc4342f9fc9cc85ae6eb2b52432c6ee Binary files /dev/null and b/new_type_trial_balance/409/409.xlsx differ diff --git a/new_type_trial_balance/409/409_dirty_1.json b/new_type_trial_balance/409/409_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..b8cbd5ef572895dd563dd28697905a99122d9214 --- /dev/null +++ b/new_type_trial_balance/409/409_dirty_1.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_409_dirty_1.png", + "labels": [ + { + "text": "Morris-Watkins", + "bbox": [ + 172, + 174, + 486, + 219 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $126,838.05", + "bbox": [ + 172, + 392, + 1477, + 424 + ] + }, + { + "text": "Customer Receivables $55,223.61", + "bbox": [ + 172, + 445, + 1477, + 477 + ] + }, + { + "text": "Stock of Goods $64,566.07", + "bbox": [ + 172, + 499, + 1477, + 531 + ] + }, + { + "text": "Fixed Assets and Equipment $315,442.74", + "bbox": [ + 172, + 552, + 1477, + 584 + ] + }, + { + "text": "Vendor Payables $40,662.05", + "bbox": [ + 172, + 605, + 1477, + 638 + ] + }, + { + "text": "Borrowings and Notes Payable $172,521.51", + "bbox": [ + 172, + 659, + 1478, + 691 + ] + }, + { + "text": "Ordinary Shares $171,077.36", + "bbox": [ + 173, + 712, + 1478, + 744 + ] + }, + { + "text": "Sales Revenue $315,760.57", + "bbox": [ + 173, + 766, + 1478, + 798 + ] + }, + { + "text": "Compensation 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b/new_type_trial_balance/409/409_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..823055da1e9d29167248988ae1f4e101373ebe78 --- /dev/null +++ b/new_type_trial_balance/409/409_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_409_dirty_3.png", + "labels": [ + { + "text": "Morris-Watkins", + "bbox": [ + 186, + 166, + 500, + 214 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $126,838.05", + "bbox": [ + 183, + 385, + 1489, + 431 + ] + }, + { + "text": "Customer Receivables $55,223.61", + "bbox": [ + 183, + 438, + 1488, + 484 + ] + }, + { + "text": "Stock of Goods $64,566.07", + "bbox": [ + 182, + 492, + 1487, + 538 + ] + }, + { + "text": "Fixed Assets and Equipment $315,442.74", + "bbox": [ + 181, + 545, + 1486, + 591 + ] + }, + { + "text": "Vendor Payables $40,662.05", + "bbox": [ + 180, + 598, + 1486, + 645 + ] + }, + { + "text": "Borrowings and Notes Payable $172,521.51", + "bbox": [ + 180, + 652, + 1485, + 698 + ] + }, + { + "text": "Ordinary Shares $171,077.36", + "bbox": [ + 179, + 705, + 1484, + 751 + ] + }, + { + "text": "Sales Revenue $315,760.57", + "bbox": [ + 178, + 759, + 1484, + 805 + ] + }, + { + "text": "Compensation Expense $141,955.63", + "bbox": [ + 178, + 812, + 1483, + 858 + ] + }, + { + "text": "Lease and Operating Expenses $31,054.52", + "bbox": [ + 177, + 866, + 1482, + 912 + ] + }, + { + "text": "Final Adjusted Total $1,435,102.11", + "bbox": [ + 259, + 922, + 1482, + 967 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/409/409_dirty_4.json b/new_type_trial_balance/409/409_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..7b592eb169b86157956c40a7ada6249bab399779 --- /dev/null +++ b/new_type_trial_balance/409/409_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_409_dirty_4.png", + "labels": [ + { + "text": "Morris-Watkins", + "bbox": [ + 172, + 179, + 486, + 224 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $126,838.05", + "bbox": [ + 172, + 392, + 1477, + 424 + ] + }, + { + "text": "Customer Receivables $55,223.61", + "bbox": [ + 172, + 445, + 1477, + 477 + ] + }, + { + "text": "Stock of Goods $64,566.07", + "bbox": [ + 172, + 499, + 1477, + 531 + ] + }, + { + "text": "Fixed Assets and Equipment $315,442.74", + "bbox": [ + 172, + 552, + 1477, + 584 + ] + }, + { + "text": "Vendor Payables $40,662.05", + "bbox": [ + 172, + 605, + 1477, + 638 + ] + }, + { + "text": "Borrowings and Notes Payable $172,521.51", + "bbox": [ + 173, + 659, + 1478, + 691 + ] + }, + { + "text": "Ordinary Shares $171,077.36", + "bbox": [ + 173, + 712, + 1478, + 744 + ] + }, + { + "text": "Sales Revenue $315,760.57", + "bbox": [ + 173, + 766, + 1478, + 798 + ] + }, + { + "text": "Compensation Expense $141,955.63", + "bbox": [ + 173, + 819, + 1478, + 851 + ] + }, + { + "text": "Lease and Operating Expenses $31,054.52", + "bbox": [ + 173, + 873, + 1478, + 905 + ] + }, + { + "text": "Final Adjusted Total $1,435,102.11", + "bbox": [ + 256, + 928, + 1478, + 960 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/409/409_dirty_5.json b/new_type_trial_balance/409/409_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..78153f73c369b234f0dc8bab611f69a5d2d07bf5 --- /dev/null +++ b/new_type_trial_balance/409/409_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_409_dirty_5.png", + "labels": [ + { + "text": "Morris-Watkins", + "bbox": [ + 182, + 173, + 496, + 220 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $126,838.05", + "bbox": [ + 180, + 388, + 1485, + 428 + ] + }, + { + "text": "Customer Receivables $55,223.61", + "bbox": [ + 180, + 441, + 1485, + 481 + ] + }, + { + "text": "Stock of Goods $64,566.07", + "bbox": [ + 179, + 495, + 1484, + 535 + ] + }, + { + "text": "Fixed Assets and Equipment $315,442.74", + "bbox": [ + 179, + 548, + 1484, + 588 + ] + }, + { + "text": "Vendor Payables $40,662.05", + "bbox": [ + 178, + 601, + 1483, + 642 + ] + }, + { + "text": "Borrowings and Notes Payable $172,521.51", + "bbox": [ + 178, + 655, + 1483, + 695 + ] + }, + { + "text": "Ordinary Shares $171,077.36", + "bbox": [ + 177, + 708, + 1482, + 748 + ] + }, + { + "text": "Sales Revenue $315,760.57", + "bbox": [ + 177, + 762, + 1482, + 802 + ] + }, + { + "text": "Compensation Expense $141,955.63", + "bbox": [ + 176, + 815, + 1482, + 855 + ] + }, + { + "text": "Lease and Operating Expenses $31,054.52", + "bbox": [ + 176, + 869, + 1481, + 909 + ] + }, + { + "text": "Final Adjusted Total $1,435,102.11", + "bbox": [ + 258, + 925, + 1481, + 964 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/409/409_pdf.json b/new_type_trial_balance/409/409_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..1ed8b1a514e84dfd4c5f06bedb71ae807b5e4a91 --- /dev/null +++ b/new_type_trial_balance/409/409_pdf.json @@ -0,0 +1,115 @@ +{ + 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"Borrowings and Notes Payable $172,521.51", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Ordinary Shares $171,077.36", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Sales Revenue $315,760.57", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Compensation Expense $141,955.63", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.571808, + 306.25045650000004 + ] + }, + { + "text": "Lease and Operating Expenses $31,054.52", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Final Adjusted Total $1,435,102.11", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.571568, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/411/411.png 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sha256:cda7732ac52d541898398c72c6e7bdf6ac79b98cc1819453ffe144d1caacb1e9 +size 8285162 diff --git a/new_type_trial_balance/411/411_dirty_5.png b/new_type_trial_balance/411/411_dirty_5.png new file mode 100644 index 0000000000000000000000000000000000000000..669032bd6e5b1e6e170ab5e2e4a582cf009b4928 --- /dev/null +++ b/new_type_trial_balance/411/411_dirty_5.png @@ -0,0 +1,3 @@ +version https://git-lfs.github.com/spec/v1 +oid sha256:d9f41c5d05328f9990c6a50039492cb587dcbaf111ec6917ae7b78cc49e2e3bf +size 8897205 diff --git a/new_type_trial_balance/455/455.json b/new_type_trial_balance/455/455.json new file mode 100644 index 0000000000000000000000000000000000000000..ad1668e4b5c6d7976919ce5f4ca16373b2a12c95 --- /dev/null +++ b/new_type_trial_balance/455/455.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_455.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Cooper Group", + "bbox_px": [ + 152.09, + 187.53, + 449.54, + 237.92 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $146,444.45", + "bbox_px": [ + 156.92, + 379.73, + 1462.46, + 438.2 + ] + }, + { + "text": "Trade Receivables $74,907.45", + "bbox_px": [ + 158.11, + 433.14, + 1463.66, + 491.6 + ] + }, + { + "text": "Merchandise Inventory $61,481.65", + "bbox_px": [ + 159.31, + 486.54, + 1464.86, + 545.01 + ] + }, + { + "text": "Fixed Assets $244,082.04", + "bbox_px": [ + 160.51, + 539.95, + 1466.06, + 598.41 + ] + }, + { + "text": "Trade Payables $24,105.38", + "bbox_px": [ + 161.71, + 593.35, + 1467.26, + 651.82 + ] + }, + { + "text": "Borrowings $102,276.01", + "bbox_px": [ + 162.91, + 646.76, + 1468.46, + 705.22 + ] + }, + { + "text": "Ordinary Shares $235,933.78", + "bbox_px": [ + 164.11, + 700.16, + 1469.66, + 758.62 + ] + }, + { + "text": "Sales Revenue $429,408.50", + "bbox_px": [ + 165.31, + 753.57, + 1470.86, + 812.03 + ] + }, + { + "text": "Compensation Expense $152,422.77", + "bbox_px": [ + 166.51, + 806.97, + 1472.06, + 865.43 + ] + }, + { + "text": "Operating Expenses $28,786.43", + "bbox_px": [ + 167.71, + 860.37, + 1473.26, + 918.84 + ] + }, + { + "text": "Adjusted Total $1,499,848.46", + "bbox_px": [ + 252.27, + 915.86, + 1474.5, + 972.45 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/455/455.pdf b/new_type_trial_balance/455/455.pdf new file mode 100644 index 0000000000000000000000000000000000000000..d5fc678735e95e5cc2a3524346238c6333528bb3 Binary files /dev/null and b/new_type_trial_balance/455/455.pdf differ diff --git a/new_type_trial_balance/455/455.xlsx b/new_type_trial_balance/455/455.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..6570aa9accae760d17e2eb9ee230b65a33d3385b Binary files /dev/null and b/new_type_trial_balance/455/455.xlsx differ diff --git a/new_type_trial_balance/455/455_dirty_1.json b/new_type_trial_balance/455/455_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..68a4fb7476b49158ad4857d7fe254d03e6581f43 --- /dev/null +++ b/new_type_trial_balance/455/455_dirty_1.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_455_dirty_1.png", + "labels": [ + { + "text": "Cooper Group", + "bbox": [ + 184, + 171, + 480, + 219 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $146,444.45", + "bbox": [ + 182, + 386, + 1487, + 430 + ] + }, + { + "text": "Trade Receivables $74,907.45", + "bbox": [ + 181, + 439, + 1486, + 483 + ] + }, + { + "text": "Merchandise Inventory $61,481.65", + "bbox": [ + 181, + 493, + 1486, + 537 + ] + }, + { + "text": "Fixed Assets $244,082.04", + "bbox": [ + 180, + 546, + 1485, + 590 + ] + }, + { + "text": "Trade Payables $24,105.38", + "bbox": [ + 179, + 599, + 1485, + 644 + ] + }, + { + "text": "Borrowings $102,276.01", + "bbox": [ + 179, + 653, + 1484, + 697 + ] + }, + { + "text": "Ordinary Shares $235,933.78", + "bbox": [ + 178, + 706, + 1483, + 750 + ] + }, + { + "text": "Sales Revenue $429,408.50", + "bbox": [ + 178, + 760, + 1483, + 804 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}, + { + "text": "Merchandise Inventory $61,481.65", + "bbox": [ + 164, + 491, + 1469, + 539 + ] + }, + { + "text": "Fixed Assets $244,082.04", + "bbox": [ + 165, + 544, + 1470, + 592 + ] + }, + { + "text": "Trade Payables $24,105.38", + "bbox": [ + 165, + 597, + 1471, + 646 + ] + }, + { + "text": "Borrowings $102,276.01", + "bbox": [ + 166, + 651, + 1471, + 699 + ] + }, + { + "text": "Ordinary Shares $235,933.78", + "bbox": [ + 167, + 704, + 1472, + 752 + ] + }, + { + "text": "Sales Revenue $429,408.50", + "bbox": [ + 168, + 758, + 1473, + 806 + ] + }, + { + "text": "Compensation Expense $152,422.77", + "bbox": [ + 168, + 811, + 1474, + 859 + ] + }, + { + "text": "Operating Expenses $28,786.43", + "bbox": [ + 169, + 865, + 1475, + 913 + ] + }, + { + "text": "Adjusted Total $1,499,848.46", + "bbox": [ + 253, + 920, + 1475, + 967 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/455/455_dirty_3.json b/new_type_trial_balance/455/455_dirty_3.json new file mode 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1484, + 751 + ] + }, + { + "text": "Sales Revenue $429,408.50", + "bbox": [ + 178, + 759, + 1483, + 805 + ] + }, + { + "text": "Compensation Expense $152,422.77", + "bbox": [ + 178, + 812, + 1483, + 858 + ] + }, + { + "text": "Operating Expenses $28,786.43", + "bbox": [ + 177, + 866, + 1482, + 912 + ] + }, + { + "text": "Adjusted Total $1,499,848.46", + "bbox": [ + 259, + 922, + 1481, + 967 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/455/455_dirty_4.json b/new_type_trial_balance/455/455_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..ef9671921280606bc96ab323d26ea163e44a3b75 --- /dev/null +++ b/new_type_trial_balance/455/455_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_455_dirty_4.png", + "labels": [ + { + "text": "Cooper Group", + "bbox": [ + 191, + 172, + 488, + 221 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $146,444.45", + "bbox": [ + 187, + 396, + 1493, + 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a/new_type_trial_balance/455/455_dirty_5.json b/new_type_trial_balance/455/455_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..bc3f5f940966232bdda837f6280148adc788eaaf --- /dev/null +++ b/new_type_trial_balance/455/455_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_455_dirty_5.png", + "labels": [ + { + "text": "Cooper Group", + "bbox": [ + 174, + 178, + 470, + 222 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $146,444.45", + "bbox": [ + 174, + 393, + 1479, + 423 + ] + }, + { + "text": "Trade Receivables $74,907.45", + "bbox": [ + 174, + 446, + 1479, + 476 + ] + }, + { + "text": "Merchandise Inventory $61,481.65", + "bbox": [ + 174, + 500, + 1479, + 530 + ] + }, + { + "text": "Fixed Assets $244,082.04", + "bbox": [ + 174, + 553, + 1479, + 583 + ] + }, + { + "text": "Trade Payables $24,105.38", + "bbox": [ + 174, + 606, + 1479, + 637 + ] + }, + { + "text": "Borrowings $102,276.01", + "bbox": [ + 174, + 660, + 1479, + 690 + ] + }, + { + "text": "Ordinary Shares $235,933.78", + "bbox": [ + 174, + 713, + 1479, + 743 + ] + }, + { + "text": "Sales Revenue $429,408.50", + "bbox": [ + 174, + 767, + 1479, + 797 + ] + }, + { + "text": "Compensation Expense $152,422.77", + "bbox": [ + 174, + 820, + 1479, + 850 + ] + }, + { + "text": "Operating Expenses $28,786.43", + "bbox": [ + 174, + 874, + 1479, + 904 + ] + }, + { + "text": "Adjusted Total $1,499,848.46", + "bbox": [ + 257, + 929, + 1479, + 959 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/455/455_pdf.json b/new_type_trial_balance/455/455_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..8f0bddccd2a1b741557f5f6d4a776a785d02baae --- /dev/null +++ b/new_type_trial_balance/455/455_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_455.pdf", + "labels": [ + { + "text": "Cooper Group", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 169.44641324999998, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $146,444.45", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.571808, + 152.40670650000004 + ] + }, + { + "text": "Trade Receivables $74,907.45", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Merchandise Inventory $61,481.65", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.5734077499999, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $244,082.04", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Trade Payables $24,105.38", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Borrowings $102,276.01", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Ordinary Shares $235,933.78", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Sales Revenue $429,408.50", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Compensation Expense $152,422.77", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.571808, + 306.25045650000004 + ] + }, + { + "text": "Operating Expenses $28,786.43", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Adjusted Total $1,499,848.46", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/471/471.json b/new_type_trial_balance/471/471.json new file mode 100644 index 0000000000000000000000000000000000000000..f887883d0b529e675ce96911a2275ac35a48b447 --- /dev/null +++ b/new_type_trial_balance/471/471.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_471.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Rollins-Ibarra", + "bbox_px": [ + 170.86, + 180.52, + 453.01, + 225.21 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $135,409.92", + "bbox_px": [ + 171.57, + 392.02, + 1476.88, + 425.53 + ] + }, + { + "text": "Receivables $66,198.07", + "bbox_px": [ + 171.75, + 445.44, + 1477.06, + 478.95 + ] + }, + { + "text": "Stock on Hand $113,280.35", + "bbox_px": [ + 171.93, + 498.85, + 1477.27, + 532.36 + ] + }, + { + "text": "Fixed Assets $232,789.50", + "bbox_px": [ + 172.1, + 552.27, + 1477.41, + 585.78 + ] + }, + { + "text": "Payables $63,601.94", + "bbox_px": [ + 172.28, + 605.69, + 1477.6, + 639.2 + ] + }, + { + "text": "Borrowings $119,612.21", + "bbox_px": [ + 172.46, + 659.11, + 1477.81, + 692.62 + ] + }, + { + "text": "Share Capital $278,530.74", + "bbox_px": [ + 172.64, + 712.52, + 1477.95, + 746.04 + ] + }, + { + "text": "Income $325,189.12", + "bbox_px": [ + 172.82, + 765.94, + 1478.13, + 799.45 + ] + }, + { + "text": "Compensation Costs $150,004.26", + "bbox_px": [ + 172.99, + 819.36, + 1478.3, + 852.87 + ] + }, + { + "text": "Lease and Service Charges $22,393.34", + "bbox_px": [ + 173.17, + 872.78, + 1478.49, + 906.29 + ] + }, + { + "text": "Net Adjusted Balance $1,507,009.45", + "bbox_px": [ + 256.69, + 928.28, + 1478.67, + 961.51 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/471/471.pdf b/new_type_trial_balance/471/471.pdf new file mode 100644 index 0000000000000000000000000000000000000000..0f6e90cfd671034126d44957911e7ad6e076eeac Binary files /dev/null and b/new_type_trial_balance/471/471.pdf differ diff --git a/new_type_trial_balance/471/471.xlsx b/new_type_trial_balance/471/471.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..cac82230f92e16dbf383d45befda48594ec49fa9 Binary files /dev/null and b/new_type_trial_balance/471/471.xlsx differ diff --git a/new_type_trial_balance/471/471_dirty_1.json b/new_type_trial_balance/471/471_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..b4f011a1e7f9aab1e339a5278985b9045841d259 --- /dev/null +++ b/new_type_trial_balance/471/471_dirty_1.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_471_dirty_1.png", + "labels": [ + { + "text": "Rollins-Ibarra", + "bbox": [ + 170, + 178, + 452, + 223 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $135,409.92", + "bbox": [ + 171, + 391, + 1476, + 425 + ] + }, + { + "text": "Receivables $66,198.07", + "bbox": [ + 171, + 444, + 1476, + 478 + ] + }, + { + "text": "Stock on Hand $113,280.35", + "bbox": [ + 171, + 498, + 1476, + 532 + ] + }, + { + "text": "Fixed Assets $232,789.50", + "bbox": [ + 171, + 551, + 1476, + 585 + ] + }, + { + "text": "Payables $63,601.94", + "bbox": [ + 171, + 604, + 1477, + 639 + ] + }, + { + "text": "Borrowings $119,612.21", + "bbox": [ + 172, + 658, + 1477, + 692 + ] + }, + { + "text": "Share Capital $278,530.74", + "bbox": [ + 172, + 711, + 1477, + 745 + ] + }, + { + "text": "Income $325,189.12", + "bbox": [ + 172, + 765, + 1477, + 799 + ] + }, + { + "text": "Compensation Costs $150,004.26", + "bbox": [ + 172, + 818, + 1477, + 852 + ] + }, + { + "text": "Lease and Service Charges $22,393.34", + "bbox": [ + 172, + 872, + 1478, + 906 + ] + }, + { + "text": "Net Adjusted Balance $1,507,009.45", + "bbox": [ + 256, + 927, + 1478, + 961 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/471/471_dirty_2.json b/new_type_trial_balance/471/471_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..b3561417ffaf6048f3b4530e1eeb39b16f3a4632 --- /dev/null +++ b/new_type_trial_balance/471/471_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_471_dirty_2.png", + "labels": [ + { + "text": "Rollins-Ibarra", + "bbox": [ + 160, + 184, + 443, + 231 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $135,409.92", + "bbox": [ + 163, + 385, + 1468, + 431 + ] + }, + { + "text": "Receivables $66,198.07", + "bbox": [ + 164, + 438, + 1469, + 484 + ] + }, + { + "text": "Stock on Hand $113,280.35", + "bbox": [ + 165, + 492, + 1470, + 538 + ] + }, + { + "text": "Fixed Assets $232,789.50", + "bbox": [ + 165, + 545, + 1470, + 591 + ] + }, + { + "text": "Payables $63,601.94", + "bbox": [ + 166, + 598, + 1471, + 645 + ] + }, + { + "text": "Borrowings $119,612.21", + "bbox": [ + 167, + 652, + 1472, + 698 + ] + }, + { + "text": "Share Capital $278,530.74", + "bbox": [ + 167, + 705, + 1473, + 751 + ] + }, + { + "text": "Income $325,189.12", + "bbox": [ + 168, + 759, + 1473, + 805 + ] + }, + { + "text": "Compensation Costs $150,004.26", + "bbox": [ + 169, + 812, + 1474, + 858 + ] + }, + { + "text": "Lease and Service Charges $22,393.34", + "bbox": [ + 170, + 866, + 1475, + 912 + ] + }, + { + "text": "Net Adjusted Balance $1,507,009.45", + "bbox": [ + 253, + 921, + 1476, + 966 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/471/471_dirty_3.json b/new_type_trial_balance/471/471_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..81fe1b88c2104b853bdad808296178f712ac3384 --- /dev/null +++ b/new_type_trial_balance/471/471_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_471_dirty_3.png", + "labels": [ + { + "text": "Rollins-Ibarra", + "bbox": [ + 186, + 175, + 468, + 223 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $135,409.92", + "bbox": [ + 183, + 402, + 1488, + 448 + ] + }, + { + "text": "Receivables $66,198.07", + "bbox": [ + 182, + 455, + 1488, + 501 + ] + }, + { + "text": "Stock on Hand $113,280.35", + "bbox": [ + 182, + 509, + 1487, + 555 + ] + }, + { + "text": "Fixed Assets $232,789.50", + "bbox": [ + 181, + 562, + 1486, + 608 + ] + }, + { + "text": "Payables $63,601.94", + "bbox": [ + 180, + 615, + 1486, + 662 + ] + }, + { + "text": "Borrowings $119,612.21", + "bbox": [ + 180, + 669, + 1485, + 715 + ] + }, + { + "text": "Share Capital $278,530.74", + "bbox": [ + 179, + 722, + 1484, + 768 + ] + }, + { + "text": "Income $325,189.12", + "bbox": [ + 178, + 776, + 1484, + 822 + ] + }, + { + "text": "Compensation Costs $150,004.26", + "bbox": [ + 178, + 829, + 1483, + 875 + ] + }, + { + "text": "Lease and Service Charges $22,393.34", + "bbox": [ + 177, + 883, + 1482, + 929 + ] + }, + { + "text": "Net Adjusted Balance $1,507,009.45", + "bbox": [ + 259, + 938, + 1481, + 983 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/471/471_dirty_4.json b/new_type_trial_balance/471/471_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..3541f836917ff8d70906fee87d41316a44f0c714 --- /dev/null +++ b/new_type_trial_balance/471/471_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_471_dirty_4.png", + "labels": [ + { + "text": "Rollins-Ibarra", + "bbox": [ + 180, + 174, + 462, + 220 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $135,409.92", + "bbox": [ + 179, + 389, + 1484, + 427 + ] + }, + { + "text": "Receivables $66,198.07", + "bbox": [ + 178, + 442, + 1484, + 480 + ] + }, + { + "text": "Stock on Hand $113,280.35", + "bbox": [ + 178, + 496, + 1483, + 534 + ] + }, + { + "text": "Fixed Assets $232,789.50", + "bbox": [ + 178, + 549, + 1483, + 587 + ] + }, + { + "text": "Payables $63,601.94", + "bbox": [ + 177, + 602, + 1482, + 641 + ] + }, + { + "text": "Borrowings $119,612.21", + "bbox": [ + 177, + 656, + 1482, + 694 + ] + }, + { + "text": "Share Capital $278,530.74", + "bbox": [ + 176, + 709, + 1482, + 747 + ] + }, + { + "text": "Income $325,189.12", + "bbox": [ + 176, + 763, + 1481, + 801 + ] + }, + { + "text": "Compensation Costs $150,004.26", + "bbox": [ + 176, + 816, + 1481, + 854 + ] + }, + { + "text": "Lease and Service Charges $22,393.34", + "bbox": [ + 175, + 870, + 1481, + 908 + ] + }, + { + "text": "Net Adjusted Balance $1,507,009.45", + "bbox": [ + 258, + 926, + 1480, + 963 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/471/471_dirty_5.json b/new_type_trial_balance/471/471_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..78bb921fdb4a53965313af98325cec8faf9d029a --- /dev/null +++ b/new_type_trial_balance/471/471_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_471_dirty_5.png", + "labels": [ + { + "text": "Rollins-Ibarra", + "bbox": [ + 157, + 188, + 439, + 237 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $135,409.92", + "bbox": [ + 160, + 396, + 1466, + 447 + ] + }, + { + "text": "Receivables $66,198.07", + "bbox": [ + 161, + 449, + 1467, + 500 + ] + }, + { + "text": "Stock on Hand $113,280.35", + "bbox": [ + 162, + 503, + 1468, + 554 + ] + }, + { + "text": "Fixed Assets $232,789.50", + "bbox": [ + 163, + 556, + 1468, + 607 + ] + }, + { + "text": "Payables $63,601.94", + "bbox": [ + 164, + 608, 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"Rollins-Ibarra", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 164.21741325, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $135,409.92", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.571808, + 152.40670650000004 + ] + }, + { + "text": "Receivables $66,198.07", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock on Hand $113,280.35", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.58460525, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $232,789.50", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Payables $63,601.94", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Borrowings $119,612.21", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.58460525, + 248.55905025000004 + ] + }, + { + "text": "Share Capital $278,530.74", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Income $325,189.12", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Compensation Costs $150,004.26", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.571808, + 306.25045650000004 + ] + }, + { + "text": "Lease and Service Charges $22,393.34", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Net Adjusted Balance $1,507,009.45", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/502/502.json b/new_type_trial_balance/502/502.json new file mode 100644 index 0000000000000000000000000000000000000000..a42daf1acab5969343ce1e4ab865bff49ab41c5c --- /dev/null +++ b/new_type_trial_balance/502/502.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_502.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Morton Ltd", + "bbox_px": [ + 167.12, + 182.32, + 395.85, + 227.7 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $118,183.75", + "bbox_px": [ + 168.65, + 389.56, + 1474.08, + 428.02 + ] + }, + { + "text": "Trade Receivables $67,096.15", + "bbox_px": [ + 169.03, + 442.98, + 1474.43, + 481.43 + ] + }, + { + "text": "Merchandise Inventory $116,580.94", + "bbox_px": [ + 169.41, + 496.4, + 1474.84, + 534.85 + ] + }, + { + "text": "Fixed Assets $303,273.65", + "bbox_px": [ + 169.79, + 549.81, + 1475.18, + 588.27 + ] + }, + { + "text": "Trade Payables $49,753.77", + "bbox_px": [ + 170.17, + 603.23, + 1475.57, + 641.68 + ] + }, + { + "text": "Short-Term Borrowings $219,604.02", + "bbox_px": [ + 170.55, + 656.65, + 1475.94, + 695.1 + ] + }, + { + "text": "Ordinary Shares $216,310.90", + 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345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/542/542.json b/new_type_trial_balance/542/542.json new file mode 100644 index 0000000000000000000000000000000000000000..62da82508def8ad138afe0f6988b614a76643fe0 --- /dev/null +++ b/new_type_trial_balance/542/542.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_542.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Moran, Bass and Atkins", + "bbox_px": [ + 167.7, + 180.33, + 662.3, + 227.31 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $109,746.69", + "bbox_px": [ + 169.1, + 389.94, + 1474.48, + 427.63 + ] + }, + { + "text": "Trade Receivables $58,848.37", + "bbox_px": [ + 169.45, + 443.36, + 1474.83, + 481.05 + ] + }, + { + "text": "Stock of Goods $77,362.73", + "bbox_px": [ + 169.8, + 496.77, + 1475.18, + 534.47 + ] + }, + { + "text": "Fixed Assets $342,276.23", + "bbox_px": [ + 170.15, + 550.19, + 1475.53, + 587.88 + ] 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924, + 1481, + 965 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/542/542_dirty_4.json b/new_type_trial_balance/542/542_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..a6a6beea6b836a32148811443adfa54bd29773d3 --- /dev/null +++ b/new_type_trial_balance/542/542_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_542_dirty_4.png", + "labels": [ + { + "text": "Moran, Bass and Atkins", + "bbox": [ + 163, + 180, + 657, + 230 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $109,746.69", + "bbox": [ + 165, + 387, + 1471, + 429 + ] + }, + { + "text": "Trade Receivables $58,848.37", + "bbox": [ + 166, + 440, + 1471, + 482 + ] + }, + { + "text": "Stock of Goods $77,362.73", + "bbox": [ + 166, + 494, + 1472, + 536 + ] + }, + { + "text": "Fixed Assets $342,276.23", + "bbox": [ + 167, + 547, + 1472, + 589 + ] + }, + { + "text": "Trade Payables $49,572.41", + "bbox": [ + 168, + 600, + 1473, + 643 + ] + }, + { + "text": "Borrowings $239,400.16", + "bbox": [ + 168, + 654, + 1473, + 696 + ] + }, + { + "text": "Ordinary Shares $178,525.43", + "bbox": [ + 169, + 707, + 1474, + 749 + ] + }, + { + "text": "Sales $318,975.84", + "bbox": [ + 169, + 761, + 1475, + 803 + ] + }, + { + "text": "Compensation Costs $169,621.14", + "bbox": [ + 170, + 814, + 1475, + 856 + ] + }, + { + "text": "Lease and Service Charges $48,055.14", + "bbox": [ + 170, + 868, + 1476, + 910 + ] + }, + { + "text": "Adjusted Account Total $1,592,384.14", + "bbox": [ + 254, + 923, + 1476, + 965 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/542/542_dirty_5.json b/new_type_trial_balance/542/542_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..1e7c3baad8afd1f11e0614224f8264d9d719e019 --- /dev/null +++ b/new_type_trial_balance/542/542_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_542_dirty_5.png", + "labels": [ + { + "text": "Moran, Bass and Atkins", + "bbox": [ + 176, + 179, + 670, + 224 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $109,746.69", + "bbox": [ + 175, + 392, + 1480, + 424 + ] + }, + { + "text": "Trade Receivables $58,848.37", + "bbox": [ + 175, + 445, + 1480, + 477 + ] + }, + { + "text": "Stock of Goods $77,362.73", + "bbox": [ + 175, + 499, + 1480, + 531 + ] + }, + { + "text": "Fixed Assets $342,276.23", + "bbox": [ + 175, + 552, + 1480, + 584 + ] + }, + { + "text": "Trade Payables $49,572.41", + "bbox": [ + 175, + 605, + 1480, + 638 + ] + }, + { + "text": "Borrowings $239,400.16", + "bbox": [ + 175, + 659, + 1480, + 691 + ] + }, + { + "text": "Ordinary Shares $178,525.43", + "bbox": [ + 174, + 712, + 1480, + 744 + ] + }, + { + "text": "Sales $318,975.84", + "bbox": [ + 174, + 766, + 1479, + 798 + ] + }, + { + "text": "Compensation Costs $169,621.14", + "bbox": [ + 174, + 819, + 1479, + 851 + ] + }, + { + "text": "Lease and Service Charges $48,055.14", + "bbox": [ + 174, + 873, + 1479, + 905 + ] + }, + { + "text": "Adjusted Account Total $1,592,384.14", + "bbox": [ + 257, + 928, + 1479, + 960 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/542/542_pdf.json b/new_type_trial_balance/542/542_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..41761b68fd8543fffadf8fe88c1da980a28f56cb --- /dev/null +++ b/new_type_trial_balance/542/542_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_542.pdf", + "labels": [ + { + "text": "Moran, Bass and Atkins", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 240.65216324999997, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $109,746.69", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.571808, + 152.40670650000004 + ] + }, + { + "text": "Trade Receivables $58,848.37", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock of Goods $77,362.73", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.5734077499999, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $342,276.23", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Trade Payables $49,572.41", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Borrowings $239,400.16", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Ordinary Shares $178,525.43", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Sales $318,975.84", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Compensation Costs $169,621.14", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.571808, + 306.25045650000004 + ] + }, + { + "text": "Lease and Service Charges $48,055.14", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Adjusted Account Total $1,592,384.14", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/612/612.json b/new_type_trial_balance/612/612.json new file mode 100644 index 0000000000000000000000000000000000000000..44383bc4fc3bc181b0275fa72036183c3d8b9ada --- /dev/null +++ b/new_type_trial_balance/612/612.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_612.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Brown Inc", + "bbox_px": [ + 148.47, + 191.16, + 361.03, + 240.43 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $112,437.93", + "bbox_px": [ + 154.1, + 377.38, + 1459.67, + 440.69 + ] + }, + { + "text": "Trade Receivables $44,960.42", + "bbox_px": [ + 155.5, + 430.78, + 1461.04, + 494.09 + ] + }, + { + "text": "Stock of Goods $89,427.99", + "bbox_px": [ + 156.89, + 484.18, + 1462.43, + 547.49 + ] + }, + { + "text": "Fixed Assets $328,751.11", + "bbox_px": [ + 158.29, + 537.58, + 1463.83, + 600.89 + ] + }, + { + "text": "Trade Payables $62,931.57", + "bbox_px": [ + 159.69, + 590.98, + 1465.23, + 654.29 + ] + }, + { + "text": "Borrowings $222,065.08", + "bbox_px": [ + 161.09, + 644.38, + 1466.62, + 707.69 + ] + }, + { + "text": "Share Capital $270,850.52", + "bbox_px": [ + 162.48, + 697.78, + 1468.02, + 761.09 + ] + }, + { + "text": "Sales $320,926.97", + "bbox_px": [ + 163.88, + 751.18, + 1469.42, + 814.49 + ] + }, + { + "text": "Personnel Costs $63,586.30", + "bbox_px": [ + 165.28, + 804.58, + 1470.82, + 867.89 + ] + }, + { + "text": "Facility Expenses $36,204.54", + "bbox_px": [ + 166.68, + 857.98, + 1472.22, + 921.29 + ] + }, + { + "text": "Final Account Balance $1,552,142.43", + "bbox_px": [ + 251.43, + 913.46, + 1473.66, + 974.59 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/612/612_dirty_2.json b/new_type_trial_balance/612/612_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..114613467eeb550a83b4c85aa4b90e821d027d41 --- /dev/null +++ b/new_type_trial_balance/612/612_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_612_dirty_2.png", + "labels": [ + { + "text": "Brown Inc", + "bbox": [ + 184, + 166, + 396, + 213 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $112,437.93", + "bbox": [ + 182, + 370, + 1487, + 414 + ] + }, + { + "text": "Trade Receivables $44,960.42", + "bbox": [ + 181, + 423, + 1487, + 467 + ] + }, + { + "text": "Stock of Goods $89,427.99", + "bbox": [ + 181, + 477, + 1486, + 521 + ] + }, + { + "text": "Fixed Assets $328,751.11", + "bbox": [ + 180, + 530, + 1485, + 574 + ] + }, + { + "text": "Trade Payables $62,931.57", + "bbox": [ + 179, + 583, + 1485, + 628 + ] + }, + { + "text": "Borrowings $222,065.08", + "bbox": [ + 179, + 637, + 1484, + 681 + ] + }, + { + "text": "Share Capital $270,850.52", + "bbox": [ + 178, + 690, + 1484, + 734 + ] + }, + { + "text": "Sales $320,926.97", + "bbox": [ + 178, + 744, + 1483, + 788 + ] + }, + { + "text": "Personnel Costs $63,586.30", + "bbox": [ + 177, + 797, + 1482, + 841 + ] + }, + { + "text": "Facility Expenses $36,204.54", + "bbox": [ + 177, + 851, + 1482, + 895 + ] + }, + { + "text": "Final Account Balance $1,552,142.43", + "bbox": [ + 259, + 907, + 1481, + 950 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/612/612_dirty_3.json b/new_type_trial_balance/612/612_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..aea30d941de3797002aee7f8569e3a5bc476b5b0 --- /dev/null +++ b/new_type_trial_balance/612/612_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_612_dirty_3.png", + "labels": [ + { + "text": "Brown Inc", + "bbox": [ + 153, + 185, + 365, + 233 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $112,437.93", + "bbox": [ + 158, + 380, + 1463, + 436 + ] + }, + { + "text": "Trade Receivables $44,960.42", + "bbox": [ + 159, + 433, + 1464, + 489 + ] + }, + { + "text": "Stock of Goods $89,427.99", + "bbox": [ + 160, + 487, + 1465, + 543 + ] + }, + { + "text": "Fixed Assets $328,751.11", + "bbox": [ + 161, + 540, + 1466, + 596 + ] + }, + { + "text": "Trade Payables $62,931.57", + "bbox": [ + 162, + 593, + 1467, + 650 + ] + }, + { + "text": "Borrowings $222,065.08", + "bbox": [ + 163, + 647, + 1469, + 703 + ] + }, + { + "text": "Share Capital $270,850.52", + "bbox": [ + 164, + 700, + 1470, + 756 + ] + }, + { + "text": "Sales $320,926.97", + "bbox": [ + 165, + 754, + 1471, + 810 + ] + }, + { + "text": "Personnel Costs $63,586.30", + "bbox": [ + 166, + 807, + 1472, + 863 + ] + }, + { + "text": "Facility Expenses $36,204.54", + "bbox": [ + 168, + 861, + 1473, + 917 + ] + }, + { + "text": "Final Account Balance $1,552,142.43", + "bbox": [ + 252, + 916, + 1474, + 970 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/612/612_dirty_4.json b/new_type_trial_balance/612/612_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..33babba6b43b831ff0f0edd52b2a31f5cc9f54b8 --- /dev/null +++ b/new_type_trial_balance/612/612_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_612_dirty_4.png", + "labels": [ + { + "text": "Brown Inc", + "bbox": [ + 160, + 185, + 372, + 231 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $112,437.93", + "bbox": [ + 163, + 385, + 1468, + 431 + ] + }, + { + "text": "Trade Receivables $44,960.42", + "bbox": [ + 164, + 438, + 1469, + 484 + ] + }, + { + "text": "Stock of Goods $89,427.99", + "bbox": [ + 164, + 492, + 1470, + 538 + ] + }, + { + "text": "Fixed Assets $328,751.11", + "bbox": [ + 165, + 545, + 1470, + 591 + ] + }, + { + "text": "Trade Payables $62,931.57", + "bbox": [ + 166, + 598, + 1471, + 645 + ] + }, + { + "text": "Borrowings $222,065.08", + "bbox": [ + 167, + 652, + 1472, + 698 + ] + }, + { + "text": "Share Capital $270,850.52", + "bbox": [ + 167, + 705, + 1473, + 751 + ] + }, + { + "text": "Sales $320,926.97", + "bbox": [ + 168, + 759, + 1473, + 805 + ] + }, + { + "text": "Personnel Costs $63,586.30", + "bbox": [ + 169, + 812, + 1474, + 858 + ] + }, + { + "text": "Facility Expenses $36,204.54", + "bbox": [ + 170, + 866, + 1475, + 912 + ] + }, + { + "text": "Final Account Balance $1,552,142.43", + "bbox": [ + 253, + 921, + 1476, + 966 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/614/614.json b/new_type_trial_balance/614/614.json new file mode 100644 index 0000000000000000000000000000000000000000..23c11d05764f3b62b5fcf165372179795625e9e9 --- /dev/null +++ b/new_type_trial_balance/614/614.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_614.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Graham, Cooper and Lawrence", + "bbox_px": [ + 173.27, + 179.28, + 820.02, + 223.61 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $75,679.47", + "bbox_px": [ + 173.46, + 393.61, + 1478.71, + 423.93 + ] + }, + { + "text": "Customer Receivables $34,671.00", + "bbox_px": [ + 173.51, + 447.02, + 1478.76, + 477.35 + ] + }, + { + "text": "Stock of Goods $73,612.75", + "bbox_px": [ + 173.55, + 500.44, + 1478.8, + 530.77 + ] + }, + { + "text": "Fixed Assets $219,355.74", + "bbox_px": [ + 173.6, + 553.86, + 1478.85, + 584.19 + ] + }, + { + "text": "Vendor Payables $68,873.06", + "bbox_px": [ + 173.65, + 607.28, + 1478.9, + 637.6 + ] + }, + { + "text": "Debentures Payable $193,097.59", + "bbox_px": [ + 173.7, + 660.7, + 1478.94, + 691.02 + ] + }, + { + "text": "Ordinary Shares $321,267.40", + "bbox_px": [ + 173.74, + 714.11, + 1478.99, + 744.44 + ] + }, + { + "text": "Income $537,928.76", + "bbox_px": [ + 173.79, + 767.53, + 1479.04, + 797.86 + ] + }, + { + "text": "Personnel Costs $164,199.19", + "bbox_px": [ + 173.84, + 820.95, + 1479.08, + 851.28 + ] + }, + { + "text": "Lease and Utility Expenses $24,739.66", + "bbox_px": [ + 173.89, + 874.37, + 1479.14, + 904.69 + ] + }, + { + "text": "Final Adjusted Total $1,713,424.62", + "bbox_px": [ + 257.27, + 929.87, + 1479.18, + 960.12 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/614/614.pdf b/new_type_trial_balance/614/614.pdf new file mode 100644 index 0000000000000000000000000000000000000000..f1d4d01d291e394c38000f26a07a860e94fd5096 Binary files /dev/null and b/new_type_trial_balance/614/614.pdf differ diff --git a/new_type_trial_balance/614/614.xlsx b/new_type_trial_balance/614/614.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..5ad8e6416e50e17b5f7c011cfc9af8c4100e1c04 Binary files /dev/null and b/new_type_trial_balance/614/614.xlsx differ diff --git a/new_type_trial_balance/614/614_dirty_1.json b/new_type_trial_balance/614/614_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..010d3ae2305a121ff31de42b614109981a88f5b2 --- /dev/null +++ b/new_type_trial_balance/614/614_dirty_1.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_614_dirty_1.png", + "labels": [ + { + "text": "Graham, Cooper and Lawrence", + "bbox": [ + 183, + 172, + 830, + 222 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $75,679.47", + "bbox": [ + 181, + 387, + 1486, + 429 + ] + }, + { + "text": "Customer Receivables $34,671.00", + "bbox": [ + 180, + 440, + 1486, + 482 + ] + }, + { + "text": "Stock of Goods $73,612.75", + "bbox": [ + 180, + 494, + 1485, + 536 + ] + }, + { + "text": "Fixed Assets $219,355.74", + "bbox": [ + 179, + 547, + 1484, + 589 + ] + }, + { + "text": "Vendor Payables $68,873.06", + "bbox": [ + 179, + 600, + 1484, + 643 + ] + }, + { + "text": "Debentures Payable $193,097.59", + "bbox": [ + 178, + 654, + 1483, + 696 + ] + }, + { + "text": "Ordinary Shares $321,267.40", + "bbox": [ + 178, + 707, + 1483, + 749 + ] + }, + { + "text": "Income $537,928.76", + "bbox": [ + 177, + 761, + 1482, + 803 + ] + }, + { + "text": "Personnel Costs $164,199.19", + "bbox": [ + 177, + 814, + 1482, + 856 + ] + }, + { + "text": "Lease and Utility Expenses $24,739.66", + "bbox": [ + 176, + 868, + 1481, + 910 + ] + }, + { + "text": "Final Adjusted Total $1,713,424.62", + "bbox": [ + 259, + 924, + 1481, + 965 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/614/614_dirty_2.json b/new_type_trial_balance/614/614_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..194eaa77f0b0712eb7bf3ba320dacefc9d876f5f --- /dev/null +++ b/new_type_trial_balance/614/614_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_614_dirty_2.png", + "labels": [ + { + "text": "Graham, Cooper and Lawrence", + "bbox": [ + 182, + 177, + 830, + 227 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $75,679.47", + "bbox": [ + 180, + 395, + 1486, + 437 + ] + }, + { + "text": "Customer Receivables $34,671.00", + "bbox": [ + 180, + 448, + 1485, + 490 + ] + }, + { + "text": "Stock of Goods $73,612.75", + "bbox": [ + 179, + 502, + 1485, + 544 + ] + }, + { + "text": "Fixed Assets $219,355.74", + "bbox": [ + 179, + 555, + 1484, + 597 + ] + }, + { + "text": "Vendor Payables $68,873.06", + "bbox": [ + 178, + 608, + 1484, + 651 + ] + }, + { + "text": "Debentures Payable $193,097.59", + "bbox": [ + 178, + 662, + 1483, + 704 + ] + }, + { + "text": "Ordinary Shares $321,267.40", + "bbox": [ + 177, + 715, + 1483, + 757 + ] + }, + { + "text": "Income $537,928.76", + "bbox": [ + 177, + 769, + 1482, + 811 + ] + }, + { + "text": "Personnel Costs $164,199.19", + "bbox": [ + 176, + 822, + 1482, + 864 + ] + }, + { + "text": "Lease and Utility Expenses $24,739.66", + "bbox": [ + 176, + 876, + 1481, + 918 + ] + }, + { + "text": "Final Adjusted Total $1,713,424.62", + "bbox": [ + 258, + 932, + 1481, + 973 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/614/614_dirty_3.json b/new_type_trial_balance/614/614_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..1d41c48197859b00a540c767d50c5703a153d5a1 --- /dev/null +++ b/new_type_trial_balance/614/614_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_614_dirty_3.png", + "labels": [ + { + "text": "Graham, Cooper and Lawrence", + "bbox": [ + 172, + 178, + 819, + 222 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $75,679.47", + "bbox": [ + 172, + 393, + 1477, + 423 + ] + }, + { + "text": "Customer Receivables $34,671.00", + "bbox": [ + 173, + 446, + 1478, + 476 + ] + }, + { + "text": "Stock of Goods $73,612.75", + "bbox": [ + 173, + 500, + 1478, + 530 + ] + }, + { + "text": "Fixed Assets $219,355.74", + "bbox": [ + 173, + 553, + 1478, + 583 + ] + }, + { + "text": "Vendor Payables $68,873.06", + "bbox": [ + 173, + 606, + 1478, + 637 + ] + }, + { + "text": "Debentures Payable $193,097.59", + "bbox": [ + 173, + 660, + 1478, + 690 + ] + }, + { + "text": "Ordinary Shares $321,267.40", + "bbox": [ + 173, + 713, + 1478, + 743 + ] + }, + { + "text": "Income $537,928.76", + "bbox": [ + 173, + 767, + 1478, + 797 + ] + }, + { + "text": "Personnel Costs $164,199.19", + "bbox": [ + 173, + 820, + 1478, + 850 + ] + }, + { + "text": "Lease and Utility Expenses $24,739.66", + "bbox": [ + 173, + 874, + 1478, + 904 + ] + }, + { + "text": "Final Adjusted Total $1,713,424.62", + "bbox": [ + 256, + 929, + 1478, + 959 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/614/614_dirty_4.json b/new_type_trial_balance/614/614_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..9695b84f55cba0b0903ce8c15cacbc6e78259533 --- /dev/null +++ b/new_type_trial_balance/614/614_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_614_dirty_4.png", + "labels": [ + { + "text": "Graham, Cooper and Lawrence", + "bbox": [ + 154, + 180, + 802, + 237 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $75,679.47", + "bbox": [ + 158, + 381, + 1464, + 436 + ] + }, + { + "text": "Customer Receivables $34,671.00", + "bbox": [ + 159, + 434, + 1465, + 489 + ] + }, + { + "text": "Stock of Goods $73,612.75", + "bbox": [ + 160, + 488, + 1466, + 543 + ] + }, + { + "text": "Fixed Assets $219,355.74", + "bbox": [ + 161, + 541, + 1467, + 596 + ] + }, + { + "text": "Vendor Payables $68,873.06", + "bbox": [ + 162, + 594, + 1468, + 650 + ] + }, + { + "text": "Debentures Payable $193,097.59", + "bbox": [ + 164, + 648, + 1469, + 703 + ] + }, + { + "text": "Ordinary Shares $321,267.40", + "bbox": [ + 165, + 701, + 1470, + 756 + ] + }, + { + "text": "Income $537,928.76", + "bbox": [ + 166, + 755, + 1471, + 810 + ] + }, + { + "text": "Personnel Costs $164,199.19", + "bbox": [ + 167, + 808, + 1472, + 863 + ] + }, + { + "text": "Lease and Utility Expenses $24,739.66", + "bbox": [ + 168, + 862, + 1473, + 916 + ] + }, + { + "text": "Final Adjusted Total $1,713,424.62", + "bbox": [ + 252, + 917, + 1474, + 970 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/614/614_dirty_5.json b/new_type_trial_balance/614/614_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..8b8752b6e4959af06b6e485536daaf9a641e4beb --- /dev/null +++ b/new_type_trial_balance/614/614_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_614_dirty_5.png", + "labels": [ + { + "text": "Graham, Cooper and Lawrence", + "bbox": [ + 186, + 169, + 833, + 222 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $75,679.47", + "bbox": [ + 183, + 385, + 1488, + 431 + ] + }, + { + "text": "Customer Receivables $34,671.00", + "bbox": [ + 182, + 438, + 1488, + 484 + ] + }, + { + "text": "Stock of Goods $73,612.75", + "bbox": [ + 182, + 492, + 1487, + 538 + ] + }, + { + "text": "Fixed Assets $219,355.74", + "bbox": [ + 181, + 545, + 1486, + 591 + ] + }, + { + "text": "Vendor Payables $68,873.06", + "bbox": [ + 180, + 598, + 1486, + 645 + ] + }, + { + "text": "Debentures Payable $193,097.59", + "bbox": [ + 180, + 652, + 1485, + 698 + ] + }, + { + "text": "Ordinary Shares $321,267.40", + "bbox": [ + 179, + 705, + 1484, + 751 + ] + }, + { + "text": "Income $537,928.76", + "bbox": [ + 178, + 759, + 1484, + 805 + ] + }, + { + "text": "Personnel Costs $164,199.19", + "bbox": [ + 178, + 812, + 1483, + 858 + ] + }, + { + "text": "Lease and Utility Expenses $24,739.66", + "bbox": [ + 177, + 866, + 1482, + 912 + ] + }, + { + "text": "Final Adjusted Total $1,713,424.62", + "bbox": [ + 259, + 922, + 1481, + 967 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/614/614_pdf.json b/new_type_trial_balance/614/614_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..b3ad212a2c22517b765e03e96aa7f3068c3b7413 --- /dev/null +++ b/new_type_trial_balance/614/614_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_614.pdf", + "labels": [ + { + "text": "Graham, Cooper and Lawrence", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 295.50941324999997, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $75,679.47", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.5734077499999, + 152.40670650000004 + ] + }, + { + "text": "Customer Receivables $34,671.00", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock of Goods $73,612.75", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.5734077499999, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $219,355.74", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Vendor Payables $68,873.06", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Debentures Payable $193,097.59", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Ordinary Shares $321,267.40", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Income $537,928.76", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Personnel Costs $164,199.19", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.571808, + 306.25045650000004 + ] + }, + { + "text": "Lease and Utility Expenses $24,739.66", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Final Adjusted Total $1,713,424.62", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/615/615.json b/new_type_trial_balance/615/615.json new file mode 100644 index 0000000000000000000000000000000000000000..c9bc64a66631932a5e41f4caefc503023926e599 --- /dev/null +++ b/new_type_trial_balance/615/615.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_615.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Lewis, Perkins and Short", + "bbox_px": [ + 164.69, + 180.59, + 685.41, + 229.33 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $107,723.32", + "bbox_px": [ + 166.75, + 387.97, + 1472.19, + 429.64 + ] + }, + { + "text": "Outstanding Receivables $89,116.99", + "bbox_px": [ + 167.27, + 441.39, + 1472.74, + 483.06 + ] + }, + { + "text": "Stock on Hand $55,679.21", + "bbox_px": [ + 167.78, + 494.8, + 1473.22, + 536.47 + ] + }, + { + "text": "Fixed Assets and Property $266,327.92", + "bbox_px": [ + 168.29, + 548.22, + 1473.73, + 589.89 + ] + }, + { + "text": "Outstanding Liabilities $55,528.76", + "bbox_px": [ + 168.8, + 601.63, + 1474.24, + 643.3 + ] + }, + { + "text": "Promissory Notes $156,439.15", + "bbox_px": [ + 169.31, + 655.05, + 1474.75, + 696.72 + ] + }, + { + "text": "Equity Shares $348,999.71", + "bbox_px": [ + 169.82, + 708.46, + 1475.26, + 750.13 + ] + }, + { + "text": "Sales Income $560,885.10", + "bbox_px": [ + 170.34, + 761.88, + 1475.77, + 803.55 + ] + }, + { + "text": "Personnel Costs $174,526.49", + "bbox_px": [ + 170.85, + 815.29, + 1476.29, + 856.97 + ] + }, + { + "text": "Lease and Service Charges $33,588.54", + "bbox_px": [ + 171.36, + 868.71, + 1476.8, + 910.38 + ] + }, + { + "text": "Final Reconciled Balance $1,848,815.19", + "bbox_px": [ + 255.22, + 924.21, + 1477.33, + 965.08 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/615/615.pdf b/new_type_trial_balance/615/615.pdf new file mode 100644 index 0000000000000000000000000000000000000000..06ce03755f2fa915eae68bfc732830e0c83893a0 Binary files /dev/null and b/new_type_trial_balance/615/615.pdf differ diff --git a/new_type_trial_balance/615/615.xlsx b/new_type_trial_balance/615/615.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..904eeadb3afba4eb5d356ff72a325937b625cabc Binary files /dev/null and b/new_type_trial_balance/615/615.xlsx differ diff --git a/new_type_trial_balance/615/615_dirty_1.json b/new_type_trial_balance/615/615_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..48768544eca33a72f06e13787dbdd0341722941c --- /dev/null +++ b/new_type_trial_balance/615/615_dirty_1.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_615_dirty_1.png", + "labels": [ + { + "text": "Lewis, Perkins and Short", + "bbox": [ + 173, + 170, + 693, + 214 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $107,723.32", + "bbox": [ + 173, + 377, + 1478, + 407 + ] + }, + { + "text": "Outstanding Receivables $89,116.99", + "bbox": [ + 173, + 430, + 1478, + 460 + ] + }, + { + "text": "Stock on Hand $55,679.21", + "bbox": [ + 173, + 484, + 1478, + 514 + ] + }, + { + "text": "Fixed Assets and Property $266,327.92", + "bbox": [ + 173, + 537, + 1478, + 567 + ] + }, + { + "text": "Outstanding Liabilities $55,528.76", + "bbox": [ + 173, + 590, + 1478, + 621 + ] + }, + { + "text": "Promissory Notes $156,439.15", + "bbox": [ + 173, + 644, + 1478, + 674 + ] + }, + { + "text": "Equity Shares $348,999.71", + "bbox": [ + 173, + 697, + 1478, + 727 + ] + }, + { + "text": "Sales Income $560,885.10", + "bbox": [ + 173, + 751, + 1478, + 781 + ] + }, + { + "text": "Personnel Costs $174,526.49", + "bbox": [ + 173, + 804, + 1478, + 834 + ] + }, + { + "text": "Lease and Service Charges $33,588.54", + "bbox": [ + 173, + 858, + 1478, + 888 + ] + }, + { + "text": "Final Reconciled Balance $1,848,815.19", + "bbox": [ + 256, + 913, + 1478, + 943 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/615/615_dirty_2.json b/new_type_trial_balance/615/615_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..e1170082c26cad45b34b5ea73d32a0d32f131e8d --- /dev/null +++ b/new_type_trial_balance/615/615_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_615_dirty_2.png", + "labels": [ + { + "text": "Lewis, Perkins and Short", + "bbox": [ + 182, + 177, + 702, + 225 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $107,723.32", + "bbox": [ + 180, + 396, + 1485, + 436 + ] + }, + { + "text": "Outstanding Receivables $89,116.99", + "bbox": [ + 180, + 449, + 1485, + 489 + ] + }, + { + "text": "Stock on Hand $55,679.21", + "bbox": [ + 179, + 503, + 1484, + 543 + ] + }, + { + "text": "Fixed Assets and Property $266,327.92", + "bbox": [ + 179, + 556, + 1484, + 596 + ] + }, + { + "text": "Outstanding Liabilities $55,528.76", + "bbox": [ + 178, + 609, + 1484, + 650 + ] + }, + { + "text": "Promissory Notes $156,439.15", + "bbox": [ + 178, + 663, + 1483, + 703 + ] + }, + { + "text": "Equity Shares $348,999.71", + "bbox": [ + 177, + 716, + 1483, + 756 + ] + }, + { + "text": "Sales Income $560,885.10", + "bbox": [ + 177, + 770, + 1482, + 810 + ] + }, + { + "text": "Personnel Costs $174,526.49", + "bbox": [ + 176, + 823, + 1482, + 863 + ] + }, + { + "text": "Lease and Service Charges $33,588.54", + "bbox": [ + 176, + 877, + 1481, + 917 + ] + }, + { + "text": "Final Reconciled Balance $1,848,815.19", + "bbox": [ + 258, + 932, + 1481, + 972 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/615/615_dirty_3.json b/new_type_trial_balance/615/615_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..db1bfde8eb5ec39dbc1aa73ea00b0ced49c27c5d --- /dev/null +++ b/new_type_trial_balance/615/615_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_615_dirty_3.png", + "labels": [ + { + "text": "Lewis, Perkins and Short", + "bbox": [ + 167, + 177, + 688, + 225 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $107,723.32", + "bbox": [ + 169, + 389, + 1474, + 427 + ] + }, + { + "text": "Outstanding Receivables $89,116.99", + "bbox": [ + 169, + 442, + 1474, + 480 + ] + }, + { + "text": "Stock on Hand $55,679.21", + "bbox": [ + 169, + 496, + 1475, + 534 + ] + }, + { + "text": "Fixed Assets and Property $266,327.92", + "bbox": [ + 170, + 549, + 1475, + 587 + ] + }, + { + "text": "Outstanding Liabilities $55,528.76", + "bbox": [ + 170, + 602, + 1475, + 641 + ] + }, + { + "text": "Promissory Notes $156,439.15", + "bbox": [ + 170, + 656, + 1476, + 694 + ] + }, + { + "text": "Equity Shares $348,999.71", + "bbox": [ + 171, + 709, + 1476, + 747 + ] + }, + { + "text": "Sales Income $560,885.10", + "bbox": [ + 171, + 763, + 1476, + 801 + ] + }, + { + "text": "Personnel Costs $174,526.49", + "bbox": [ + 171, + 816, + 1477, + 854 + ] + }, + { + "text": "Lease and Service Charges $33,588.54", + "bbox": [ + 172, + 870, + 1477, + 908 + ] + }, + { + "text": "Final Reconciled Balance $1,848,815.19", + "bbox": [ + 255, + 925, + 1477, + 962 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/615/615_dirty_4.json b/new_type_trial_balance/615/615_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..ca2ab1a4eff14bc7a9d2a4dcb03a4c2abe8f408d --- /dev/null +++ b/new_type_trial_balance/615/615_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_615_dirty_4.png", + "labels": [ + { + "text": "Lewis, Perkins and Short", + "bbox": [ + 171, + 179, + 691, + 224 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $107,723.32", + "bbox": [ + 171, + 392, + 1476, + 424 + ] + }, + { + "text": "Outstanding Receivables $89,116.99", + "bbox": [ + 171, + 445, + 1477, + 477 + ] + }, + { + "text": "Stock on Hand $55,679.21", + "bbox": [ + 172, + 499, + 1477, + 531 + ] + }, + { + "text": "Fixed Assets and Property $266,327.92", + "bbox": [ + 172, + 552, + 1477, + 584 + ] + }, + { + "text": "Outstanding Liabilities $55,528.76", + "bbox": [ + 172, + 605, + 1477, + 638 + ] + }, + { + "text": "Promissory Notes $156,439.15", + "bbox": [ + 172, + 659, + 1477, + 691 + ] + }, + { + "text": "Equity Shares $348,999.71", + "bbox": [ + 172, + 712, + 1477, + 744 + ] + }, + { + "text": "Sales Income $560,885.10", + "bbox": [ + 172, + 766, + 1477, + 798 + ] + }, + { + "text": "Personnel Costs $174,526.49", + "bbox": [ + 173, + 819, + 1478, + 851 + ] + }, + { + "text": "Lease and Service Charges $33,588.54", + "bbox": [ + 173, + 873, + 1478, + 905 + ] + }, + { + "text": "Final Reconciled Balance $1,848,815.19", + "bbox": [ + 256, + 928, + 1478, + 960 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/615/615_dirty_5.json b/new_type_trial_balance/615/615_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..fd31cc651ff2f1e8688b26a604e02b26af99e439 --- /dev/null +++ b/new_type_trial_balance/615/615_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_615_dirty_5.png", + "labels": [ + { + "text": "Lewis, Perkins and Short", + "bbox": [ + 188, + 174, + 709, + 227 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $107,723.32", + "bbox": [ + 185, + 393, + 1491, + 443 + ] + }, + { + "text": "Outstanding Receivables $89,116.99", + "bbox": [ + 184, + 446, + 1490, + 496 + ] + }, + { + "text": "Stock on Hand $55,679.21", + "bbox": [ + 184, + 500, + 1489, + 550 + ] + }, + { + "text": "Fixed Assets and Property $266,327.92", + "bbox": [ + 183, + 553, + 1488, + 603 + ] + }, + { + "text": "Outstanding Liabilities $55,528.76", + "bbox": [ + 182, + 606, + 1487, + 657 + ] + }, + { + "text": "Promissory Notes $156,439.15", + "bbox": [ + 181, + 660, + 1486, + 710 + ] + }, + { + "text": "Equity Shares $348,999.71", + "bbox": [ + 180, + 713, + 1486, + 763 + ] + }, + { + "text": "Sales Income $560,885.10", + "bbox": [ + 179, + 767, + 1485, + 817 + ] + }, + { + "text": "Personnel Costs $174,526.49", + "bbox": [ + 179, + 820, + 1484, + 870 + ] + }, + { + "text": "Lease and Service Charges $33,588.54", + "bbox": [ + 178, + 874, + 1483, + 924 + ] + }, + { + "text": "Final Reconciled Balance $1,848,815.19", + "bbox": [ + 260, + 931, + 1482, + 979 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/615/615_pdf.json b/new_type_trial_balance/615/615_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..64960bfc20170c1e2708e3d80012b1f10bdc57a2 --- /dev/null +++ b/new_type_trial_balance/615/615_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_615.pdf", + "labels": [ + { + "text": "Lewis, Perkins and Short", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 250.00766325, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $107,723.32", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.571808, + 152.40670650000004 + ] + }, + { + "text": "Outstanding Receivables $89,116.99", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5862042499999, + 171.63717525000004 + ] + }, + { + "text": "Stock on Hand $55,679.21", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.5734077499999, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets and Property $266,327.92", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Outstanding Liabilities $55,528.76", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Promissory Notes $156,439.15", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Equity Shares $348,999.71", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Sales Income $560,885.10", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Personnel Costs $174,526.49", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.571808, + 306.25045650000004 + ] + }, + { + "text": "Lease and Service Charges $33,588.54", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Final Reconciled Balance $1,848,815.19", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/624/624.json b/new_type_trial_balance/624/624.json new file mode 100644 index 0000000000000000000000000000000000000000..570666b4387a1d6b2771d3b458eed3d012a5456b --- /dev/null +++ b/new_type_trial_balance/624/624.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_624.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Guzman-Torres", + "bbox_px": [ + 171.57, + 180.15, + 491.76, + 224.73 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $139,376.10", + "bbox_px": [ + 172.13, + 392.49, + 1477.42, + 425.06 + ] + }, + { + "text": "Trade Receivables $41,152.47", + "bbox_px": [ + 172.27, + 445.9, + 1477.56, + 478.47 + ] + }, + { + "text": "Merchandise Inventory $115,603.01", + "bbox_px": [ + 172.41, + 499.32, + 1477.73, + 531.89 + ] + }, + { + "text": "Fixed Assets $290,020.70", + "bbox_px": [ + 172.55, + 552.74, + 1477.84, + 585.31 + ] + }, + { + "text": "Trade Payables $43,272.61", + "bbox_px": [ + 172.69, + 606.16, + 1477.98, + 638.73 + ] + }, + { + "text": "Short-Term Borrowings $148,234.04", + "bbox_px": [ + 172.83, + 659.58, + 1478.12, + 692.15 + ] + }, + { + "text": "Share Capital $218,298.34", + "bbox_px": [ + 172.96, + 712.99, + 1478.26, + 745.56 + ] + }, + { + "text": "Sales Revenue $410,542.16", + "bbox_px": [ + 173.1, + 766.41, + 1478.39, + 798.98 + ] + }, + { + "text": "Personnel Costs $166,399.89", + "bbox_px": [ + 173.24, + 819.83, + 1478.53, + 852.4 + ] + }, + { + "text": "Operating Expenses $23,835.08", + "bbox_px": [ + 173.38, + 873.25, + 1478.68, + 905.82 + ] + }, + { + "text": "Net Adjusted Balance $1,596,734.40", + "bbox_px": [ + 256.86, + 928.75, + 1478.82, + 961.1 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/624/624.pdf b/new_type_trial_balance/624/624.pdf new file mode 100644 index 0000000000000000000000000000000000000000..12ea870f712a5b03c0fb9a8998738deb2c23f0ca Binary files /dev/null and b/new_type_trial_balance/624/624.pdf differ diff --git a/new_type_trial_balance/624/624.xlsx b/new_type_trial_balance/624/624.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..ff6aaef82236899f1ab33b23a682e496747b21fa Binary files /dev/null and b/new_type_trial_balance/624/624.xlsx differ diff --git a/new_type_trial_balance/624/624_dirty_1.json b/new_type_trial_balance/624/624_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..e57eb34a919820c47293f7afe67b4632f1ad12a8 --- /dev/null +++ b/new_type_trial_balance/624/624_dirty_1.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_624_dirty_1.png", + "labels": [ + { + "text": "Guzman-Torres", + "bbox": [ + 177, + 176, + 497, + 221 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $139,376.10", + "bbox": [ + 176, + 391, + 1481, + 425 + ] + }, + { + "text": "Trade Receivables $41,152.47", + "bbox": [ + 176, + 444, + 1481, + 478 + ] + }, + { + "text": "Merchandise Inventory $115,603.01", + "bbox": [ + 176, + 498, + 1481, + 532 + ] + }, + { + "text": "Fixed Assets $290,020.70", + "bbox": [ + 176, + 551, + 1481, + 585 + ] + }, + { + "text": "Trade Payables $43,272.61", + "bbox": [ + 176, + 604, + 1481, + 639 + ] + }, + { + "text": "Short-Term Borrowings $148,234.04", + "bbox": [ + 175, + 658, + 1480, + 692 + ] + }, + { + "text": "Share Capital $218,298.34", + "bbox": [ + 175, + 711, + 1480, + 745 + ] + }, + { + "text": "Sales Revenue $410,542.16", + "bbox": [ + 175, + 765, + 1480, + 799 + ] + }, + { + "text": "Personnel Costs $166,399.89", + "bbox": [ + 175, + 818, + 1480, + 852 + ] + }, + { + "text": "Operating Expenses $23,835.08", + "bbox": [ + 175, + 872, + 1480, + 906 + ] + }, + { + "text": "Net Adjusted Balance $1,596,734.40", + "bbox": [ + 257, + 927, + 1479, + 961 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/624/624_dirty_2.json b/new_type_trial_balance/624/624_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..4748bf21635ffb3b0b369363570864644b0951b5 --- /dev/null +++ b/new_type_trial_balance/624/624_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_624_dirty_2.png", + "labels": [ + { + "text": "Guzman-Torres", + "bbox": [ + 154, + 187, + 475, + 238 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $139,376.10", + "bbox": [ + 158, + 389, + 1464, + 444 + ] + }, + { + "text": "Trade Receivables $41,152.47", + "bbox": [ + 159, + 442, + 1465, + 496 + ] + }, + { + "text": "Merchandise Inventory $115,603.01", + "bbox": [ + 160, + 496, + 1466, + 550 + ] + }, + { + "text": "Fixed Assets $290,020.70", + "bbox": [ + 162, + 549, + 1467, + 603 + ] + }, + { + "text": "Trade Payables $43,272.61", + "bbox": [ + 163, + 602, + 1468, + 657 + ] + }, + { + "text": "Short-Term Borrowings $148,234.04", + "bbox": [ + 164, + 656, + 1469, + 710 + ] + }, + { + "text": "Share Capital $218,298.34", + "bbox": [ + 165, + 709, + 1470, + 763 + ] + }, + { + "text": "Sales Revenue $410,542.16", + "bbox": [ + 166, + 763, + 1471, + 817 + ] + }, + { + "text": "Personnel Costs $166,399.89", + "bbox": [ + 167, + 816, + 1472, + 870 + ] + }, + { + "text": "Operating Expenses $23,835.08", + "bbox": [ + 168, + 870, + 1473, + 924 + ] + }, + { + "text": "Net Adjusted Balance $1,596,734.40", + "bbox": [ + 252, + 925, + 1474, + 978 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/624/624_dirty_3.json b/new_type_trial_balance/624/624_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..31082c634cd530962a5ee86f3ca25ac9090eba49 --- /dev/null +++ b/new_type_trial_balance/624/624_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_624_dirty_3.png", + "labels": [ + { + "text": "Guzman-Torres", + "bbox": [ + 156, + 188, + 477, + 238 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $139,376.10", + "bbox": [ + 160, + 396, + 1465, + 448 + ] + }, + { + "text": "Trade Receivables $41,152.47", + "bbox": [ + 161, + 449, + 1466, + 501 + ] + }, + { + "text": "Merchandise Inventory $115,603.01", + "bbox": [ + 162, + 503, + 1467, + 555 + ] + }, + { + "text": "Fixed Assets $290,020.70", + "bbox": [ + 163, + 556, + 1468, + 608 + ] + }, + { + "text": "Trade Payables $43,272.61", + "bbox": [ + 164, + 609, + 1469, + 662 + ] + }, + { + "text": "Short-Term Borrowings $148,234.04", + "bbox": [ + 165, + 663, + 1470, + 715 + ] + }, + { + "text": "Share Capital $218,298.34", + "bbox": [ + 166, + 716, + 1471, + 768 + ] + }, + { + "text": "Sales Revenue $410,542.16", + "bbox": [ + 167, + 770, + 1472, + 822 + ] + }, + { + "text": "Personnel Costs $166,399.89", + "bbox": [ + 168, + 823, + 1473, + 875 + ] + }, + { + "text": "Operating Expenses $23,835.08", + "bbox": [ + 168, + 877, + 1474, + 929 + ] + }, + { + "text": "Net Adjusted Balance $1,596,734.40", + "bbox": [ + 252, + 932, + 1475, + 982 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/624/624_dirty_4.json b/new_type_trial_balance/624/624_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..5c651a68e2f10a354cea01b9363bce378b98a5cf --- /dev/null +++ b/new_type_trial_balance/624/624_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_624_dirty_4.png", + "labels": [ + { + "text": "Guzman-Torres", + "bbox": [ + 164, + 185, + 484, + 232 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $139,376.10", + "bbox": [ + 166, + 396, + 1471, + 438 + ] + }, + { + "text": "Trade Receivables $41,152.47", + "bbox": [ + 167, + 449, + 1472, + 491 + ] + }, + { + "text": "Merchandise Inventory $115,603.01", + "bbox": [ + 167, + 503, + 1472, + 545 + ] + }, + { + "text": "Fixed Assets $290,020.70", + "bbox": [ + 168, + 556, + 1473, + 598 + ] + }, + { + "text": "Trade Payables $43,272.61", + "bbox": [ + 168, + 609, + 1473, + 652 + ] + }, + { + "text": "Short-Term Borrowings $148,234.04", + "bbox": [ + 169, + 663, + 1474, + 705 + ] + }, + { + "text": "Share Capital $218,298.34", + "bbox": [ + 169, + 716, + 1474, + 758 + ] + }, + { + "text": "Sales Revenue $410,542.16", + "bbox": [ + 170, + 770, + 1475, + 812 + ] + }, + { + "text": "Personnel Costs $166,399.89", + "bbox": [ + 170, + 823, + 1475, + 865 + ] + }, + { + "text": "Operating Expenses $23,835.08", + "bbox": [ + 171, + 877, + 1476, + 919 + ] + }, + { + "text": "Net Adjusted Balance $1,596,734.40", + "bbox": [ + 254, + 932, + 1476, + 973 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/624/624_dirty_5.json b/new_type_trial_balance/624/624_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..da126be9af1e3dc6447080c3bda6836a6eb4008f --- /dev/null +++ b/new_type_trial_balance/624/624_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_624_dirty_5.png", + "labels": [ + { + "text": "Guzman-Torres", + "bbox": [ + 191, + 162, + 512, + 211 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $139,376.10", + "bbox": [ + 187, + 368, + 1493, + 422 + ] + }, + { + "text": "Trade Receivables $41,152.47", + "bbox": [ + 186, + 421, + 1492, + 475 + ] + }, + { + "text": "Merchandise Inventory $115,603.01", + "bbox": [ + 185, + 475, + 1491, + 529 + ] + }, + { + "text": "Fixed Assets $290,020.70", + "bbox": [ + 185, + 528, + 1490, + 582 + ] + }, + { + "text": "Trade Payables $43,272.61", + "bbox": [ + 184, + 581, + 1489, + 636 + ] + }, + { + "text": "Short-Term Borrowings $148,234.04", + "bbox": [ + 183, + 635, + 1488, + 689 + ] + }, + { + "text": "Share Capital $218,298.34", + "bbox": [ + 182, + 688, + 1487, + 742 + ] + }, + { + "text": "Sales Revenue $410,542.16", + "bbox": [ + 181, + 742, + 1486, + 796 + ] + }, + { + "text": "Personnel Costs $166,399.89", + "bbox": [ + 180, + 795, + 1485, + 849 + ] + }, + { + "text": "Operating Expenses $23,835.08", + "bbox": [ + 179, + 849, + 1484, + 903 + ] + }, + { + "text": "Net Adjusted Balance $1,596,734.40", + "bbox": [ + 261, + 906, + 1483, + 958 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/624/624_pdf.json b/new_type_trial_balance/624/624_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..e484e9b1836db9450e8d23565ef190d44e9237d8 --- /dev/null +++ b/new_type_trial_balance/624/624_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_624.pdf", + "labels": [ + { + "text": "Guzman-Torres", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 177.91991324999998, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $139,376.10", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.571808, + 152.40670650000004 + ] + }, + { + "text": "Trade Receivables $41,152.47", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Merchandise Inventory $115,603.01", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.58460525, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $290,020.70", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Trade Payables $43,272.61", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Short-Term Borrowings $148,234.04", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Share Capital $218,298.34", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Sales Revenue $410,542.16", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Personnel Costs $166,399.89", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.571808, + 306.25045650000004 + ] + }, + { + "text": "Operating Expenses $23,835.08", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Net Adjusted Balance $1,596,734.40", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/631/631.json b/new_type_trial_balance/631/631.json new file mode 100644 index 0000000000000000000000000000000000000000..3292f821ab9e7ed11de3487c495dd27ff75bb8b6 --- /dev/null +++ b/new_type_trial_balance/631/631.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_631.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Phillips and Sons", + "bbox_px": [ + 189.32, + 168.99, + 554.67, + 218.55 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $70,141.90", + "bbox_px": [ + 186.12, + 383.87, + 1491.65, + 433.85 + ] + }, + { + "text": "Outstanding Invoices $80,762.47", + "bbox_px": [ + 185.27, + 437.28, + 1490.79, + 487.26 + ] + }, + { + "text": "Stock on Hand $117,881.80", + "bbox_px": [ + 184.42, + 490.69, + 1489.97, + 540.68 + ] + }, + { + "text": "Fixed Assets $297,918.34", + "bbox_px": [ + 183.57, + 544.1, + 1489.09, + 594.09 + ] + }, + { + "text": "Pending Liabilities $63,694.51", + "bbox_px": [ + 182.72, + 597.52, + 1488.24, + 647.5 + ] + }, + { + "text": "Debt Instruments $214,453.48", + "bbox_px": [ + 181.86, + 650.93, + 1487.38, + 700.91 + ] + }, + { + "text": "Equity Shares $308,113.09", + "bbox_px": [ + 181.01, + 704.34, + 1486.57, + 754.32 + ] + }, + { + "text": "Gross Income $394,744.54", + "bbox_px": [ + 180.16, + 757.75, + 1485.68, + 807.73 + ] + }, + { + "text": "Compensation Costs $87,784.18", + "bbox_px": [ + 179.31, + 811.16, + 1484.83, + 861.14 + ] + }, + { + "text": "Lease and Service Charges $24,383.31", + "bbox_px": [ + 178.46, + 864.57, + 1483.98, + 914.55 + ] + }, + { + "text": "Net Adjusted Balance $1,659,877.62", + "bbox_px": [ + 260.89, + 921.39, + 1483.09, + 970.05 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/631/631.pdf b/new_type_trial_balance/631/631.pdf new file mode 100644 index 0000000000000000000000000000000000000000..9f4dbe88ecb80eb605532fab315ae7125ee2fdd0 Binary files /dev/null and b/new_type_trial_balance/631/631.pdf differ diff --git a/new_type_trial_balance/631/631.xlsx b/new_type_trial_balance/631/631.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..253f5f5baa52f8093c3338b302f999883079b06b Binary files /dev/null and b/new_type_trial_balance/631/631.xlsx differ diff --git a/new_type_trial_balance/631/631_dirty_1.json b/new_type_trial_balance/631/631_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..55d12f415955e5683da5148dc3a0d360624ccbd7 --- /dev/null +++ b/new_type_trial_balance/631/631_dirty_1.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_631_dirty_1.png", + "labels": [ + { + "text": "Phillips and Sons", + "bbox": [ + 168, + 182, + 532, + 228 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $70,141.90", + "bbox": [ + 169, + 390, + 1474, + 426 + ] + }, + { + "text": "Outstanding Invoices $80,762.47", + "bbox": [ + 170, + 443, + 1475, + 479 + ] + }, + { + "text": "Stock on Hand $117,881.80", + "bbox": [ + 170, + 497, + 1475, + 533 + ] + }, + { + "text": "Fixed Assets $297,918.34", + "bbox": [ + 170, + 550, + 1475, + 586 + ] + }, + { + "text": "Pending Liabilities $63,694.51", + "bbox": [ + 170, + 603, + 1476, + 640 + ] + }, + { + "text": "Debt Instruments $214,453.48", + "bbox": [ + 171, + 657, + 1476, + 693 + ] + }, + { + "text": "Equity Shares $308,113.09", + "bbox": [ + 171, + 710, + 1476, + 746 + ] + }, + { + "text": "Gross Income $394,744.54", + "bbox": [ + 171, + 764, + 1476, + 800 + ] + }, + { + "text": "Compensation Costs $87,784.18", + "bbox": [ + 172, + 817, + 1477, + 853 + ] + }, + { + "text": "Lease and Service Charges $24,383.31", + "bbox": [ + 172, + 871, + 1477, + 907 + ] + }, + { + "text": "Net Adjusted Balance $1,659,877.62", + "bbox": [ + 255, + 926, + 1477, + 962 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/631/631_dirty_2.json b/new_type_trial_balance/631/631_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..fe3ca2254e7bcd8f64b5d22c2b1d35b8a255dc5c --- /dev/null +++ b/new_type_trial_balance/631/631_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_631_dirty_2.png", + "labels": [ + { + "text": "Phillips and Sons", + "bbox": [ + 191, + 165, + 556, + 215 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $70,141.90", + "bbox": [ + 187, + 382, + 1493, + 435 + ] + }, + { + "text": "Outstanding Invoices $80,762.47", + "bbox": [ + 186, + 435, + 1492, + 488 + ] + }, + { + "text": "Stock on Hand $117,881.80", + "bbox": [ + 185, + 489, + 1491, + 542 + ] + }, + { + "text": "Fixed Assets $297,918.34", + "bbox": [ + 184, + 542, + 1490, + 595 + ] + }, + { + "text": "Pending Liabilities $63,694.51", + "bbox": [ + 183, + 595, + 1489, + 649 + ] + }, + { + "text": "Debt Instruments $214,453.48", + "bbox": [ + 182, + 649, + 1488, + 702 + ] + }, + { + "text": "Equity Shares $308,113.09", + "bbox": [ + 181, + 702, + 1487, + 755 + ] + }, + { + "text": "Gross Income $394,744.54", + "bbox": [ + 180, + 756, + 1486, + 808 + ] + }, + { + "text": "Compensation Costs $87,784.18", + "bbox": [ + 179, + 809, + 1485, + 861 + ] + }, + { + "text": "Lease and Service Charges $24,383.31", + "bbox": [ + 178, + 863, + 1484, + 915 + ] + }, + { + "text": "Net Adjusted Balance $1,659,877.62", + "bbox": [ + 260, + 919, + 1483, + 970 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/631/631_dirty_3.json b/new_type_trial_balance/631/631_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..cccc99e1ceda34da82a7f4abe9a95a87e22fe882 --- /dev/null +++ b/new_type_trial_balance/631/631_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_631_dirty_3.png", + "labels": [ + { + "text": "Phillips and Sons", + "bbox": [ + 156, + 184, + 520, + 235 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $70,141.90", + "bbox": [ + 160, + 382, + 1465, + 435 + ] + }, + { + "text": "Outstanding Invoices $80,762.47", + "bbox": [ + 160, + 435, + 1466, + 487 + ] + }, + { + "text": "Stock on Hand $117,881.80", + "bbox": [ + 161, + 489, + 1467, + 541 + ] + }, + { + "text": "Fixed Assets $297,918.34", + "bbox": [ + 162, + 542, + 1468, + 594 + ] + }, + { + "text": "Pending Liabilities $63,694.51", + "bbox": [ + 163, + 595, + 1469, + 648 + ] + }, + { + "text": "Debt Instruments $214,453.48", + "bbox": [ + 164, + 649, + 1470, + 701 + ] + }, + { + "text": "Equity Shares $308,113.09", + "bbox": [ + 165, + 702, + 1471, + 754 + ] + }, + { + "text": "Gross Income $394,744.54", + "bbox": [ + 166, + 756, + 1472, + 808 + ] + }, + { + "text": "Compensation Costs $87,784.18", + "bbox": [ + 167, + 809, + 1473, + 861 + ] + }, + { + "text": "Lease and Service Charges $24,383.31", + "bbox": [ + 168, + 863, + 1474, + 915 + ] + }, + { + "text": "Net Adjusted Balance $1,659,877.62", + "bbox": [ + 252, + 918, + 1475, + 969 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/631/631_dirty_4.json b/new_type_trial_balance/631/631_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..e05c666bbd36503b8ea8b884523f8d88ec3b49c5 --- /dev/null +++ b/new_type_trial_balance/631/631_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_631_dirty_4.png", + "labels": [ + { + "text": "Phillips and Sons", + "bbox": [ + 158, + 186, + 522, + 236 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $70,141.90", + "bbox": [ + 161, + 383, + 1466, + 433 + ] + }, + { + "text": "Outstanding Invoices $80,762.47", + "bbox": [ + 162, + 436, + 1467, + 486 + ] + }, + { + "text": "Stock on Hand $117,881.80", + "bbox": [ + 163, + 490, + 1468, + 540 + ] + }, + { + "text": "Fixed Assets $297,918.34", + "bbox": [ + 164, + 543, + 1469, + 593 + ] + }, + { + "text": "Pending Liabilities $63,694.51", + "bbox": [ + 165, + 596, + 1470, + 647 + ] + }, + { + "text": "Debt Instruments $214,453.48", + "bbox": [ + 165, + 650, + 1471, + 700 + ] + }, + { + "text": "Equity Shares $308,113.09", + "bbox": [ + 166, + 703, + 1472, + 753 + ] + }, + { + "text": "Gross Income $394,744.54", + "bbox": [ + 167, + 757, + 1472, + 807 + ] + }, + { + "text": "Compensation Costs $87,784.18", + "bbox": [ + 168, + 810, + 1473, + 860 + ] + }, + { + "text": "Lease and Service Charges $24,383.31", + "bbox": [ + 169, + 864, + 1474, + 914 + ] + }, + { + "text": "Net Adjusted Balance $1,659,877.62", + "bbox": [ + 253, + 919, + 1475, + 968 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/631/631_dirty_5.json b/new_type_trial_balance/631/631_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..63250a574464e7f37a159911c81477427f4e0c77 --- /dev/null +++ b/new_type_trial_balance/631/631_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_631_dirty_5.png", + "labels": [ + { + "text": "Phillips and Sons", + "bbox": [ + 166, + 181, + 531, + 227 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $70,141.90", + "bbox": [ + 168, + 389, + 1473, + 427 + ] + }, + { + "text": "Outstanding Invoices $80,762.47", + "bbox": [ + 168, + 442, + 1473, + 480 + ] + }, + { + "text": "Stock on Hand $117,881.80", + "bbox": [ + 169, + 496, + 1474, + 534 + ] + }, + { + "text": "Fixed Assets $297,918.34", + "bbox": [ + 169, + 549, + 1474, + 587 + ] + }, + { + "text": "Pending Liabilities $63,694.51", + "bbox": [ + 169, + 602, + 1475, + 641 + ] + }, + { + "text": "Debt Instruments $214,453.48", + "bbox": [ + 170, + 656, + 1475, + 694 + ] + }, + { + "text": "Equity Shares $308,113.09", + "bbox": [ + 170, + 709, + 1475, + 747 + ] + }, + { + "text": "Gross Income $394,744.54", + "bbox": [ + 171, + 763, + 1476, + 801 + ] + }, + { + "text": "Compensation Costs $87,784.18", + "bbox": [ + 171, + 816, + 1476, + 854 + ] + }, + { + "text": "Lease and Service Charges $24,383.31", + "bbox": [ + 171, + 870, + 1477, + 908 + ] + }, + { + "text": "Net Adjusted Balance $1,659,877.62", + "bbox": [ + 255, + 925, + 1477, + 963 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/631/631_pdf.json b/new_type_trial_balance/631/631_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..48ff03ceff0a55bb44a32e03fa3f8bef74a74dd4 --- /dev/null +++ b/new_type_trial_balance/631/631_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_631.pdf", + "labels": [ + { + "text": "Phillips and Sons", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 193.98491325, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $70,141.90", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.5734077499999, + 152.40670650000004 + ] + }, + { + "text": "Outstanding Invoices $80,762.47", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock on Hand $117,881.80", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.58460525, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $297,918.34", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Pending Liabilities $63,694.51", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Debt Instruments $214,453.48", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Equity Shares $308,113.09", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.58460525, + 267.78951900000004 + ] + }, + { + "text": "Gross Income $394,744.54", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Compensation Costs $87,784.18", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.5734077499999, + 306.25045650000004 + ] + }, + { + "text": "Lease and Service Charges $24,383.31", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Net Adjusted Balance $1,659,877.62", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/654/654.json b/new_type_trial_balance/654/654.json new file mode 100644 index 0000000000000000000000000000000000000000..c230d56fda44857a099dec4e493bf7c304fcf08f --- /dev/null +++ b/new_type_trial_balance/654/654.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_654.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Gardner Group", + "bbox_px": [ + 171.68, + 180.13, + 485.39, + 224.66 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $87,897.37", + "bbox_px": [ + 172.22, + 392.56, + 1477.51, + 424.98 + ] + }, + { + "text": "Trade Receivables $70,342.80", + "bbox_px": [ + 172.35, + 445.98, + 1477.64, + 478.4 + ] + }, + { + "text": "Stock on Hand $91,651.77", + "bbox_px": [ + 172.48, + 499.4, + 1477.78, + 531.82 + ] + }, + { + "text": "Fixed Assets $233,382.50", + "bbox_px": [ + 172.62, + 552.81, + 1477.9, + 585.24 + ] + }, + { + "text": "Trade Payables $50,541.62", + "bbox_px": [ + 172.75, + 606.23, + 1478.04, + 638.65 + ] + }, + { + "text": "Debt Instruments $201,044.18", + "bbox_px": [ + 172.88, + 659.65, + 1478.17, + 692.07 + ] + }, + { + "text": "Ordinary Shares $198,579.68", + "bbox_px": [ + 173.02, + 713.07, + 1478.3, + 745.49 + ] + }, + { + "text": "Sales Income $454,774.58", + "bbox_px": [ + 173.15, + 766.49, + 1478.44, + 798.91 + ] + }, + { + "text": "Employee Compensation Expense $159,063.01", + "bbox_px": [ + 173.28, + 819.9, + 1478.57, + 852.32 + ] + }, + { + "text": "Lease and Facility Costs $23,717.06", + "bbox_px": [ + 173.42, + 873.32, + 1478.71, + 905.74 + ] + }, + { + "text": "Net Adjusted Balance $1,570,994.57", + "bbox_px": [ + 256.89, + 928.82, + 1478.84, + 961.04 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/654/654.pdf b/new_type_trial_balance/654/654.pdf new file mode 100644 index 0000000000000000000000000000000000000000..9f18b8d85e5c1ee4740025c686f2c55f8d17e097 Binary files /dev/null and b/new_type_trial_balance/654/654.pdf differ diff --git a/new_type_trial_balance/654/654.xlsx b/new_type_trial_balance/654/654.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..c5d847110738d8d628c163ecfa180ff2421c90db Binary files /dev/null and b/new_type_trial_balance/654/654.xlsx differ diff --git a/new_type_trial_balance/654/654_dirty_1.json b/new_type_trial_balance/654/654_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..1dac2e4737e0fb67737adeeaf91c910800ef88fd --- /dev/null +++ b/new_type_trial_balance/654/654_dirty_1.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_654_dirty_1.png", + "labels": [ + { + "text": "Gardner Group", + "bbox": [ + 162, + 187, + 476, + 234 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $87,897.37", + "bbox": [ + 165, + 386, + 1470, + 430 + ] + }, + { + "text": "Trade Receivables $70,342.80", + "bbox": [ + 165, + 439, + 1470, + 483 + ] + }, + { + "text": "Stock on Hand $91,651.77", + "bbox": [ + 166, + 493, + 1471, + 537 + ] + }, + { + "text": "Fixed Assets $233,382.50", + "bbox": [ + 166, + 546, + 1472, + 590 + ] + }, + { + "text": "Trade Payables $50,541.62", + "bbox": [ + 167, + 599, + 1472, + 644 + ] + }, + { + "text": "Debt Instruments $201,044.18", + "bbox": [ + 168, + 653, + 1473, + 697 + ] + }, + { + "text": "Ordinary Shares $198,579.68", + "bbox": [ + 168, + 706, + 1474, + 750 + ] + }, + { + "text": "Sales Income $454,774.58", + "bbox": [ + 169, + 760, + 1474, + 804 + ] + }, + { + "text": "Employee Compensation Expense $159,063.01", + "bbox": [ + 170, + 813, + 1475, + 857 + ] + }, + { + "text": "Lease and Facility Costs $23,717.06", + "bbox": [ + 170, + 867, + 1475, + 911 + ] + }, + { + "text": "Net Adjusted Balance $1,570,994.57", + "bbox": [ + 254, + 922, + 1476, + 965 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/654/654_dirty_2.json b/new_type_trial_balance/654/654_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..48bfc4a833872869081d70368e7bbc59ca6a0156 --- /dev/null +++ b/new_type_trial_balance/654/654_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_654_dirty_2.png", + "labels": [ + { + "text": "Gardner Group", + "bbox": [ + 176, + 177, + 489, + 222 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $87,897.37", + "bbox": [ + 175, + 392, + 1480, + 424 + ] + }, + { + "text": "Trade Receivables $70,342.80", + "bbox": [ + 175, + 445, + 1480, + 477 + ] + }, + { + "text": "Stock on Hand $91,651.77", + "bbox": [ + 175, + 499, + 1480, + 531 + ] + }, + { + "text": "Fixed Assets $233,382.50", + "bbox": [ + 175, + 552, + 1480, + 584 + ] + }, + { + "text": "Trade Payables $50,541.62", + "bbox": [ + 175, + 605, + 1480, + 638 + ] + }, + { + "text": "Debt Instruments $201,044.18", + "bbox": [ + 175, + 659, + 1480, + 691 + ] + }, + { + "text": "Ordinary Shares $198,579.68", + "bbox": [ + 175, + 712, + 1480, + 744 + ] + }, + { + "text": "Sales Income $454,774.58", + "bbox": [ + 174, + 766, + 1479, + 798 + ] + }, + { + "text": "Employee Compensation Expense $159,063.01", + "bbox": [ + 174, + 819, + 1479, + 851 + ] + }, + { + "text": "Lease and Facility Costs $23,717.06", + "bbox": [ + 174, + 873, + 1479, + 905 + ] + }, + { + "text": "Net Adjusted Balance $1,570,994.57", + "bbox": [ + 257, + 928, + 1479, + 960 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/654/654_dirty_3.json b/new_type_trial_balance/654/654_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..98fae6c45155ab23a4414dfc602b9639417ef676 --- /dev/null +++ b/new_type_trial_balance/654/654_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_654_dirty_3.png", + "labels": [ + { + "text": "Gardner Group", + "bbox": [ + 190, + 170, + 503, + 219 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $87,897.37", + "bbox": [ + 186, + 383, + 1492, + 434 + ] + }, + { + "text": "Trade Receivables $70,342.80", + "bbox": [ + 185, + 436, + 1491, + 487 + ] + }, + { + "text": "Stock on Hand $91,651.77", + "bbox": [ + 184, + 490, + 1490, + 541 + ] + }, + { + "text": "Fixed Assets $233,382.50", + "bbox": [ + 184, + 543, + 1489, + 594 + ] + }, + { + "text": "Trade Payables $50,541.62", + "bbox": [ + 183, + 596, + 1488, + 648 + ] + }, + { + "text": "Debt Instruments $201,044.18", + "bbox": [ + 182, + 649, + 1487, + 701 + ] + }, + { + "text": "Ordinary Shares $198,579.68", + "bbox": [ + 181, + 702, + 1486, + 754 + ] + }, + { + "text": "Sales Income $454,774.58", + "bbox": [ + 180, + 756, + 1485, + 808 + ] + }, + { + "text": "Employee Compensation Expense $159,063.01", + "bbox": [ + 179, + 809, + 1484, + 861 + ] + }, + { + "text": "Lease and Facility Costs $23,717.06", + "bbox": [ + 178, + 863, + 1483, + 915 + ] + }, + { + "text": "Net Adjusted Balance $1,570,994.57", + "bbox": [ + 260, + 920, + 1482, + 970 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/654/654_dirty_4.json b/new_type_trial_balance/654/654_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..850341aacdaf059ec255be768c12fcff2563054d --- /dev/null +++ b/new_type_trial_balance/654/654_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_654_dirty_4.png", + "labels": [ + { + "text": "Gardner Group", + "bbox": [ + 161, + 183, + 475, + 231 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $87,897.37", + "bbox": [ + 164, + 385, + 1469, + 431 + ] + }, + { + "text": "Trade Receivables $70,342.80", + "bbox": [ + 164, + 438, + 1470, + 484 + ] + }, + { + "text": "Stock on Hand $91,651.77", + "bbox": [ + 165, + 492, + 1470, + 538 + ] + }, + { + "text": "Fixed Assets $233,382.50", + "bbox": [ + 166, + 545, + 1471, + 591 + ] + }, + { + "text": "Trade Payables $50,541.62", + "bbox": [ + 166, + 598, + 1472, + 645 + ] + }, + { + "text": "Debt Instruments $201,044.18", + "bbox": [ + 167, + 652, + 1472, + 698 + ] + }, + { + "text": "Ordinary Shares $198,579.68", + "bbox": [ + 168, + 705, + 1473, + 751 + ] + }, + { + "text": "Sales Income $454,774.58", + "bbox": [ + 168, + 759, + 1474, + 805 + ] + }, + { + "text": "Employee Compensation Expense $159,063.01", + "bbox": [ + 169, + 812, + 1474, + 858 + ] + }, + { + "text": "Lease and Facility Costs $23,717.06", + "bbox": [ + 170, + 866, + 1475, + 912 + ] + }, + { + "text": "Net Adjusted Balance $1,570,994.57", + "bbox": [ + 254, + 921, + 1476, + 966 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/654/654_dirty_5.json b/new_type_trial_balance/654/654_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..07f1a01babe328c82f4adc53c1fdee733e7d88ba --- /dev/null +++ b/new_type_trial_balance/654/654_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_654_dirty_5.png", + "labels": [ + { + "text": "Gardner Group", + "bbox": [ + 178, + 172, + 491, + 218 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $87,897.37", + "bbox": [ + 177, + 390, + 1482, + 426 + ] + }, + { + "text": "Trade Receivables $70,342.80", + "bbox": [ + 177, + 443, + 1482, + 479 + ] + }, + { + "text": "Stock on Hand $91,651.77", + "bbox": [ + 177, + 497, + 1482, + 533 + ] + }, + { + "text": "Fixed Assets $233,382.50", + "bbox": [ + 176, + 550, + 1481, + 586 + ] + }, + { + "text": "Trade Payables $50,541.62", + "bbox": [ + 176, + 603, + 1481, + 640 + ] + }, + { + "text": "Debt Instruments $201,044.18", + "bbox": [ + 176, + 657, + 1481, + 693 + ] + }, + { + "text": "Ordinary Shares $198,579.68", + "bbox": [ + 176, + 710, + 1481, + 746 + ] + }, + { + "text": "Sales Income $454,774.58", + "bbox": [ + 175, + 764, + 1480, + 800 + ] + }, + { + "text": "Employee Compensation Expense $159,063.01", + "bbox": [ + 175, + 817, + 1480, + 853 + ] + }, + { + "text": "Lease and Facility Costs $23,717.06", + "bbox": [ + 175, + 871, + 1480, + 907 + ] + }, + { + "text": "Net Adjusted Balance $1,570,994.57", + "bbox": [ + 258, + 927, + 1480, + 962 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/654/654_pdf.json b/new_type_trial_balance/654/654_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..c75d1d8acbc62243713b371ffeca9b9387d4a7f0 --- /dev/null +++ b/new_type_trial_balance/654/654_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_654.pdf", + "labels": [ + { + "text": "Gardner Group", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 175.58891325000002, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $87,897.37", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.5734077499999, + 152.40670650000004 + ] + }, + { + "text": "Trade Receivables $70,342.80", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock on Hand $91,651.77", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.5734077499999, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $233,382.50", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Trade Payables $50,541.62", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Debt Instruments $201,044.18", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Ordinary Shares $198,579.68", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Sales Income $454,774.58", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Employee Compensation Expense $159,063.01", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.571808, + 306.25045650000004 + ] + }, + { + "text": "Lease and Facility Costs $23,717.06", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Net Adjusted Balance $1,570,994.57", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/661/661.json b/new_type_trial_balance/661/661.json new file mode 100644 index 0000000000000000000000000000000000000000..027ea6ecd7538ed44e8f5c915080ef11e262fb24 --- /dev/null +++ b/new_type_trial_balance/661/661.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_661.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Dunn and Sons", + "bbox_px": [ + 197.13, + 163.83, + 518.96, + 215.3 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $105,519.65", + "bbox_px": [ + 192.31, + 378.68, + 1497.85, + 439.29 + ] + }, + { + "text": "Outstanding Invoices $69,489.98", + "bbox_px": [ + 191.02, + 432.08, + 1496.57, + 492.69 + ] + }, + { + "text": "Stock on Hand $92,010.75", + "bbox_px": [ + 189.73, + 485.48, + 1495.28, + 546.09 + ] + }, + { + "text": "Fixed Assets $325,820.69", + "bbox_px": [ + 188.44, + 538.88, + 1493.99, + 599.5 + ] + }, + { + "text": "Vendor Liabilities $42,549.41", + "bbox_px": [ + 187.16, + 592.29, + 1492.7, + 652.9 + ] + }, + { + "text": "Debt Obligations $203,575.90", + "bbox_px": [ + 185.87, + 645.69, + 1491.41, + 706.3 + ] + }, + { + "text": "Equity Shares $244,273.20", + "bbox_px": [ + 184.58, + 699.09, + 1490.12, + 759.7 + ] + }, + { + "text": "Income $372,777.66", + "bbox_px": [ + 183.29, + 752.49, + 1488.84, + 813.11 + ] + }, + { + "text": "Compensation Costs $148,839.79", + "bbox_px": [ + 182.01, + 805.9, + 1487.55, + 866.51 + ] + }, + { + "text": "Lease and Services Charges $29,803.32", + "bbox_px": [ + 180.72, + 859.3, + 1486.27, + 919.91 + ] + }, + { + "text": "Net Adjusted Total $1,634,660.35", + "bbox_px": [ + 262.69, + 916.79, + 1484.93, + 975.4 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/661/661.pdf b/new_type_trial_balance/661/661.pdf new file mode 100644 index 0000000000000000000000000000000000000000..2d16dd0519219323577a8033050b1dfb0b886d70 Binary files /dev/null and b/new_type_trial_balance/661/661.pdf differ diff --git a/new_type_trial_balance/661/661.xlsx b/new_type_trial_balance/661/661.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..6014d4d08340bdc6d2981bb9224520fae0d6ba1f Binary files /dev/null and b/new_type_trial_balance/661/661.xlsx differ diff --git a/new_type_trial_balance/661/661_dirty_1.json b/new_type_trial_balance/661/661_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..b5942f4b40bea0fe6163f454369e47e497a220a0 --- /dev/null +++ b/new_type_trial_balance/661/661_dirty_1.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_661_dirty_1.png", + "labels": [ + { + "text": "Dunn and Sons", + "bbox": [ + 182, + 170, + 503, + 217 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $105,519.65", + "bbox": [ + 180, + 388, + 1485, + 428 + ] + }, + { + "text": "Outstanding Invoices $69,489.98", + "bbox": [ + 180, + 441, + 1485, + 481 + ] + }, + { + "text": "Stock on Hand $92,010.75", + "bbox": [ + 179, + 495, + 1485, + 535 + ] + }, + { + "text": "Fixed Assets $325,820.69", + "bbox": [ + 179, + 548, + 1484, + 588 + ] + }, + { + "text": "Vendor Liabilities $42,549.41", + "bbox": [ + 178, + 601, + 1484, + 642 + ] + }, + { + "text": "Debt Obligations $203,575.90", + "bbox": [ + 178, + 655, + 1483, + 695 + ] + }, + { + "text": "Equity Shares $244,273.20", + "bbox": [ + 177, + 708, + 1483, + 748 + ] + }, + { + "text": "Income $372,777.66", + "bbox": [ + 177, + 762, + 1482, + 802 + ] + }, + { + "text": "Compensation Costs $148,839.79", + "bbox": [ + 176, + 815, + 1482, + 855 + ] + }, + { + "text": "Lease and Services Charges $29,803.32", + "bbox": [ + 176, + 869, + 1481, + 909 + ] + }, + { + "text": "Net Adjusted Total $1,634,660.35", + "bbox": [ + 258, + 924, + 1481, + 964 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/661/661_dirty_2.json b/new_type_trial_balance/661/661_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..eea67cdd9606771ea65c002842a8afd5e152f2f3 --- /dev/null +++ b/new_type_trial_balance/661/661_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_661_dirty_2.png", + "labels": [ + { + "text": "Dunn and Sons", + "bbox": [ + 177, + 182, + 498, + 227 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $105,519.65", + "bbox": [ + 176, + 408, + 1482, + 442 + ] + }, + { + "text": "Outstanding Invoices $69,489.98", + "bbox": [ + 176, + 461, + 1481, + 495 + ] + }, + { + "text": "Stock on Hand $92,010.75", + "bbox": [ + 176, + 515, + 1481, + 549 + ] + }, + { + "text": "Fixed Assets $325,820.69", + "bbox": [ + 176, + 568, + 1481, + 602 + ] + }, + { + "text": "Vendor Liabilities $42,549.41", + "bbox": [ + 176, + 621, + 1481, + 656 + ] + }, + { + "text": "Debt Obligations $203,575.90", + "bbox": [ + 175, + 675, + 1480, + 709 + ] + }, + { + "text": "Equity Shares $244,273.20", + "bbox": [ + 175, + 728, + 1480, + 762 + ] + }, + { + "text": "Income $372,777.66", + "bbox": [ + 175, + 782, + 1480, + 816 + ] + }, + { + "text": "Compensation Costs $148,839.79", + "bbox": [ + 175, + 835, + 1480, + 869 + ] + }, + { + "text": "Lease and Services Charges $29,803.32", + "bbox": [ + 175, + 889, + 1480, + 923 + ] + }, + { + "text": "Net Adjusted Total $1,634,660.35", + "bbox": [ + 257, + 943, + 1479, + 977 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/661/661_dirty_3.json b/new_type_trial_balance/661/661_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..7172defa8cc98f509255f2d6ad474ded29d3a538 --- /dev/null +++ b/new_type_trial_balance/661/661_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_661_dirty_3.png", + "labels": [ + { + "text": "Dunn and Sons", + "bbox": [ + 188, + 168, + 510, + 217 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $105,519.65", + "bbox": [ + 185, + 383, + 1491, + 433 + ] + }, + { + "text": "Outstanding Invoices $69,489.98", + "bbox": [ + 184, + 436, + 1490, + 486 + ] + }, + { + "text": "Stock on Hand $92,010.75", + "bbox": [ + 184, + 490, + 1489, + 540 + ] + }, + { + "text": "Fixed Assets $325,820.69", + "bbox": [ + 183, + 543, + 1488, + 593 + ] + }, + { + "text": "Vendor Liabilities $42,549.41", + "bbox": [ + 182, + 596, + 1487, + 647 + ] + }, + { + "text": "Debt Obligations $203,575.90", + "bbox": [ + 181, + 650, + 1486, + 700 + ] + }, + { + "text": "Equity Shares $244,273.20", + "bbox": [ + 180, + 703, + 1486, + 753 + ] + }, + { + "text": "Income $372,777.66", + "bbox": [ + 179, + 757, + 1485, + 807 + ] + }, + { + "text": "Compensation Costs $148,839.79", + "bbox": [ + 179, + 810, + 1484, + 860 + ] + }, + { + "text": "Lease and Services Charges $29,803.32", + "bbox": [ + 178, + 864, + 1483, + 914 + ] + }, + { + "text": "Net Adjusted Total $1,634,660.35", + "bbox": [ + 260, + 921, + 1482, + 969 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/661/661_dirty_4.json b/new_type_trial_balance/661/661_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..af38e903371a592e37c5e69e2f3a9117915fc200 --- /dev/null +++ b/new_type_trial_balance/661/661_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_661_dirty_4.png", + "labels": [ + { + "text": "Dunn and Sons", + "bbox": [ + 162, + 187, + 483, + 234 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $105,519.65", + "bbox": [ + 164, + 399, + 1470, + 443 + ] + }, + { + "text": "Outstanding Invoices $69,489.98", + "bbox": [ + 165, + 452, + 1470, + 496 + ] + }, + { + "text": "Stock on Hand $92,010.75", + "bbox": [ + 166, + 506, + 1471, + 550 + ] + }, + { + "text": "Fixed Assets $325,820.69", + "bbox": [ + 166, + 559, + 1471, + 603 + ] + }, + { + "text": "Vendor Liabilities $42,549.41", + "bbox": [ + 167, + 612, + 1472, + 657 + ] + }, + { + "text": "Debt Obligations $203,575.90", + "bbox": [ + 167, + 666, + 1473, + 710 + ] + }, + { + "text": "Equity Shares $244,273.20", + "bbox": [ + 168, + 719, + 1473, + 763 + ] + }, + { + "text": "Income $372,777.66", + "bbox": [ + 169, + 773, + 1474, + 817 + ] + }, + { + "text": "Compensation Costs $148,839.79", + "bbox": [ + 169, + 826, + 1475, + 870 + ] + }, + { + "text": "Lease and Services Charges $29,803.32", + "bbox": [ + 170, + 880, + 1475, + 924 + ] + }, + { + "text": "Net Adjusted Total $1,634,660.35", + "bbox": [ + 254, + 935, + 1476, + 978 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/661/661_dirty_5.json b/new_type_trial_balance/661/661_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..7b334ec230e58eb89338ca0a33dfc2db02c89866 --- /dev/null +++ b/new_type_trial_balance/661/661_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_661_dirty_5.png", + "labels": [ + { + "text": "Dunn and Sons", + "bbox": [ + 168, + 177, + 490, + 223 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $105,519.65", + "bbox": [ + 170, + 383, + 1475, + 419 + ] + }, + { + "text": "Outstanding Invoices $69,489.98", + "bbox": [ + 170, + 436, + 1475, + 472 + ] + }, + { + "text": "Stock on Hand $92,010.75", + "bbox": [ + 170, + 490, + 1475, + 526 + ] + }, + { + "text": "Fixed Assets $325,820.69", + "bbox": [ + 170, + 543, + 1475, + 579 + ] + }, + { + "text": "Vendor Liabilities $42,549.41", + "bbox": [ + 171, + 596, + 1476, + 633 + ] + }, + { + "text": "Debt Obligations $203,575.90", + "bbox": [ + 171, + 650, + 1476, + 686 + ] + }, + { + "text": "Equity Shares $244,273.20", + "bbox": [ + 171, + 703, + 1476, + 739 + ] + }, + { + "text": "Income $372,777.66", + "bbox": [ + 171, + 757, + 1477, + 793 + ] + }, + { + "text": "Compensation Costs $148,839.79", + "bbox": [ + 172, + 810, + 1477, + 846 + ] + }, + { + "text": "Lease and Services Charges $29,803.32", + "bbox": [ + 172, + 864, + 1477, + 900 + ] + }, + { + "text": "Net Adjusted Total $1,634,660.35", + "bbox": [ + 255, + 919, + 1477, + 954 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/661/661_pdf.json b/new_type_trial_balance/661/661_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..a0d9d3ed7ca9cbf151aa5275bdbcf03fdfbe445c --- /dev/null +++ b/new_type_trial_balance/661/661_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_661.pdf", + "labels": [ + { + "text": "Dunn and Sons", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 178.20341325, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $105,519.65", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.571808, + 152.40670650000004 + ] + }, + { + "text": "Outstanding Invoices $69,489.98", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock on Hand $92,010.75", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.5734077499999, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $325,820.69", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Vendor Liabilities $42,549.41", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Debt Obligations $203,575.90", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Equity Shares $244,273.20", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Income $372,777.66", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Compensation Costs $148,839.79", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.571808, + 306.25045650000004 + ] + }, + { + "text": "Lease and Services Charges $29,803.32", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Net Adjusted Total $1,634,660.35", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/706/706.json b/new_type_trial_balance/706/706.json new file mode 100644 index 0000000000000000000000000000000000000000..db93f43977ce9ea61174d945c3df165c6db5a7ef --- /dev/null +++ b/new_type_trial_balance/706/706.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_706.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Kline-Cross", + "bbox_px": [ + 183.49, + 172.9, + 429.43, + 219.06 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $104,556.62", + "bbox_px": [ + 181.52, + 387.8, + 1486.96, + 429.81 + ] + }, + { + "text": "Outstanding Receivables $78,029.38", + "bbox_px": [ + 180.99, + 441.21, + 1486.44, + 483.22 + ] + }, + { + "text": "Stock on Hand $61,997.86", + "bbox_px": [ + 180.47, + 494.63, + 1485.91, + 536.64 + ] + }, + { + "text": "Fixed Assets and Equipment $409,816.85", + "bbox_px": [ + 179.94, + 548.04, + 1485.38, + 590.06 + ] + }, + { + "text": "Vendor Liabilities $50,244.31", + "bbox_px": [ + 179.41, + 601.46, + 1484.86, + 643.47 + ] + }, + { + "text": "Debt Notes $166,980.31", + "bbox_px": [ + 178.89, + 654.87, + 1484.33, + 696.89 + ] + }, + { + "text": "Ordinary Shares $247,488.66", + "bbox_px": [ + 178.36, + 708.29, + 1483.81, + 750.3 + ] + }, + { + "text": "Income $390,808.92", + "bbox_px": [ + 177.84, + 761.7, + 1483.28, + 803.72 + ] + }, + { + "text": "Personnel Costs $90,806.88", + "bbox_px": [ + 177.31, + 815.12, + 1482.76, + 857.13 + ] + }, + { + "text": "Lease and Services Expenses $29,617.35", + "bbox_px": [ + 176.79, + 868.54, + 1482.23, + 910.55 + ] + }, + { + "text": "Adjusted Total Balance $1,630,347.14", + "bbox_px": [ + 259.57, + 924.85, + 1481.68, + 966.05 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/706/706.pdf b/new_type_trial_balance/706/706.pdf new file mode 100644 index 0000000000000000000000000000000000000000..22866c27917f53e9051fc54839bcd399cfcd3abf Binary files /dev/null and b/new_type_trial_balance/706/706.pdf differ diff --git a/new_type_trial_balance/706/706.xlsx b/new_type_trial_balance/706/706.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..c536d8a705443f37fa831fbd6ed521e01559d656 Binary files /dev/null and b/new_type_trial_balance/706/706.xlsx differ diff --git a/new_type_trial_balance/706/706_dirty_1.json b/new_type_trial_balance/706/706_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..d7104a8fe8ba111c5acdac62f6f2bbf1811cff01 --- /dev/null +++ b/new_type_trial_balance/706/706_dirty_1.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_706_dirty_1.png", + "labels": [ + { + "text": "Kline-Cross", + "bbox": [ + 165, + 182, + 411, + 228 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $104,556.62", + "bbox": [ + 167, + 388, + 1472, + 428 + ] + }, + { + "text": "Outstanding Receivables $78,029.38", + "bbox": [ + 168, + 441, + 1473, + 481 + ] + }, + { + "text": "Stock on Hand $61,997.86", + "bbox": [ + 168, + 495, + 1473, + 535 + ] + }, + { + "text": "Fixed Assets and Equipment $409,816.85", + "bbox": [ + 168, + 548, + 1474, + 588 + ] + }, + { + "text": "Vendor Liabilities $50,244.31", + "bbox": [ + 169, + 601, + 1474, + 642 + ] + }, + { + "text": "Debt Notes $166,980.31", + "bbox": [ + 169, + 655, + 1475, + 695 + ] + }, + { + "text": "Ordinary Shares $247,488.66", + "bbox": [ + 170, + 708, + 1475, + 748 + ] + }, + { + "text": "Income $390,808.92", + "bbox": [ + 170, + 762, + 1475, + 802 + ] + }, + { + "text": "Personnel Costs $90,806.88", + "bbox": [ + 171, + 815, + 1476, + 855 + ] + }, + { + "text": "Lease and Services Expenses $29,617.35", + "bbox": [ + 171, + 869, + 1476, + 909 + ] + }, + { + "text": "Adjusted Total Balance $1,630,347.14", + "bbox": [ + 255, + 924, + 1477, + 963 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/706/706_dirty_2.json b/new_type_trial_balance/706/706_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..094fa8939df08d60a39bbab0b87f9a27e48c948d --- /dev/null +++ b/new_type_trial_balance/706/706_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_706_dirty_2.png", + "labels": [ + { + "text": "Kline-Cross", + "bbox": [ + 177, + 172, + 422, + 217 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $104,556.62", + "bbox": [ + 176, + 391, + 1481, + 425 + ] + }, + { + "text": "Outstanding Receivables $78,029.38", + "bbox": [ + 176, + 444, + 1481, + 478 + ] + }, + { + "text": "Stock on Hand $61,997.86", + "bbox": [ + 176, + 498, + 1481, + 532 + ] + }, + { + "text": "Fixed Assets and Equipment $409,816.85", + "bbox": [ + 176, + 551, + 1481, + 585 + ] + }, + { + "text": "Vendor Liabilities $50,244.31", + "bbox": [ + 176, + 604, + 1481, + 639 + ] + }, + { + "text": "Debt Notes $166,980.31", + "bbox": [ + 175, + 658, + 1480, + 692 + ] + }, + { + "text": "Ordinary Shares $247,488.66", + "bbox": [ + 175, + 711, + 1480, + 745 + ] + }, + { + "text": "Income $390,808.92", + "bbox": [ + 175, + 765, + 1480, + 799 + ] + }, + { + "text": "Personnel Costs $90,806.88", + "bbox": [ + 175, + 818, + 1480, + 852 + ] + }, + { + "text": "Lease and Services Expenses $29,617.35", + "bbox": [ + 175, + 872, + 1480, + 906 + ] + }, + { + "text": "Adjusted Total Balance $1,630,347.14", + "bbox": [ + 257, + 927, + 1479, + 961 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/706/706_dirty_3.json b/new_type_trial_balance/706/706_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..275a86c44468f13163b6b3e99e52690c2a20a6e5 --- /dev/null +++ b/new_type_trial_balance/706/706_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_706_dirty_3.png", + "labels": [ + { + "text": "Kline-Cross", + "bbox": [ + 178, + 179, + 423, + 225 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $104,556.62", + "bbox": [ + 177, + 404, + 1482, + 440 + ] + }, + { + "text": "Outstanding Receivables $78,029.38", + "bbox": [ + 177, + 457, + 1482, + 493 + ] + }, + { + "text": "Stock on Hand $61,997.86", + "bbox": [ + 177, + 511, + 1482, + 547 + ] + }, + { + "text": "Fixed Assets and Equipment $409,816.85", + "bbox": [ + 176, + 564, + 1481, + 600 + ] + }, + { + "text": "Vendor Liabilities $50,244.31", + "bbox": [ + 176, + 617, + 1481, + 654 + ] + }, + { + "text": "Debt Notes $166,980.31", + "bbox": [ + 176, + 671, + 1481, + 707 + ] + }, + { + "text": "Ordinary Shares $247,488.66", + "bbox": [ + 176, + 724, + 1481, + 760 + ] + }, + { + "text": "Income $390,808.92", + "bbox": [ + 175, + 778, + 1480, + 814 + ] + }, + { + "text": "Personnel Costs $90,806.88", + "bbox": [ + 175, + 831, + 1480, + 867 + ] + }, + { + "text": "Lease and Services Expenses $29,617.35", + "bbox": [ + 175, + 885, + 1480, + 921 + ] + }, + { + "text": "Adjusted Total Balance $1,630,347.14", + "bbox": [ + 258, + 941, + 1480, + 976 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/706/706_dirty_4.json b/new_type_trial_balance/706/706_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..e3352cb2f8a403273e612318544a6716598deaea --- /dev/null +++ b/new_type_trial_balance/706/706_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_706_dirty_4.png", + "labels": [ + { + "text": "Kline-Cross", + "bbox": [ + 155, + 186, + 401, + 235 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $104,556.62", + "bbox": [ + 159, + 381, + 1464, + 435 + ] + }, + { + "text": "Outstanding Receivables $78,029.38", + "bbox": [ + 160, + 434, + 1465, + 488 + ] + }, + { + "text": "Stock on Hand $61,997.86", + "bbox": [ + 161, + 488, + 1466, + 542 + ] + }, + { + "text": "Fixed Assets and Equipment $409,816.85", + "bbox": [ + 162, + 541, + 1467, + 595 + ] + }, + { + "text": "Vendor Liabilities $50,244.31", + "bbox": [ + 163, + 594, + 1468, + 649 + ] + }, + { + "text": "Debt Notes $166,980.31", + "bbox": [ + 164, + 648, + 1469, + 702 + ] + }, + { + "text": "Ordinary Shares $247,488.66", + "bbox": [ + 165, + 701, + 1470, + 755 + ] + }, + { + "text": "Income $390,808.92", + "bbox": [ + 166, + 755, + 1471, + 809 + ] + }, + { + "text": "Personnel Costs $90,806.88", + "bbox": [ + 167, + 808, + 1472, + 862 + ] + }, + { + "text": "Lease and Services Expenses $29,617.35", + "bbox": [ + 168, + 862, + 1473, + 916 + ] + }, + { + "text": "Adjusted Total Balance $1,630,347.14", + "bbox": [ + 252, + 917, + 1474, + 969 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/706/706_dirty_5.json b/new_type_trial_balance/706/706_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..905490f40bba1ba928e276b4fc574cdd28636a5f --- /dev/null +++ b/new_type_trial_balance/706/706_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_706_dirty_5.png", + "labels": [ + { + "text": "Kline-Cross", + "bbox": [ + 191, + 164, + 436, + 212 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $104,556.62", + "bbox": [ + 187, + 372, + 1492, + 424 + ] + }, + { + "text": "Outstanding Receivables $78,029.38", + "bbox": [ + 186, + 425, + 1491, + 477 + ] + }, + { + "text": "Stock on Hand $61,997.86", + "bbox": [ + 185, + 479, + 1490, + 531 + ] + }, + { + "text": "Fixed Assets and Equipment $409,816.85", + "bbox": [ + 184, + 532, + 1489, + 584 + ] + }, + { + "text": "Vendor Liabilities $50,244.31", + "bbox": [ + 183, + 585, + 1488, + 638 + ] + }, + { + "text": "Debt Notes $166,980.31", + "bbox": [ + 182, + 639, + 1488, + 691 + ] + }, + { + "text": "Ordinary Shares $247,488.66", + "bbox": [ + 181, + 692, + 1487, + 744 + ] + }, + { + "text": "Income $390,808.92", + "bbox": [ + 180, + 746, + 1486, + 798 + ] + }, + { + "text": "Personnel Costs $90,806.88", + "bbox": [ + 179, + 799, + 1485, + 851 + ] + }, + { + "text": "Lease and Services Expenses $29,617.35", + "bbox": [ + 178, + 853, + 1484, + 905 + ] + }, + { + "text": "Adjusted Total Balance $1,630,347.14", + "bbox": [ + 260, + 909, + 1483, + 960 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/706/706_pdf.json b/new_type_trial_balance/706/706_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..6c3b2533ec14efcd4b1e99a158331931d7d3fe66 --- /dev/null +++ b/new_type_trial_balance/706/706_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_706.pdf", + "labels": [ + { + "text": "Kline-Cross", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 151.08191325, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $104,556.62", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.571808, + 152.40670650000004 + ] + }, + { + "text": "Outstanding Receivables $78,029.38", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock on Hand $61,997.86", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.5734077499999, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets and Equipment $409,816.85", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Vendor Liabilities $50,244.31", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Debt Notes $166,980.31", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Ordinary Shares $247,488.66", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Income $390,808.92", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Personnel Costs $90,806.88", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.5734077499999, + 306.25045650000004 + ] + }, + { + "text": "Lease and Services Expenses $29,617.35", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Adjusted Total Balance $1,630,347.14", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/723/723.json b/new_type_trial_balance/723/723.json new file mode 100644 index 0000000000000000000000000000000000000000..c65c740c130595b9aa0c48038eb5657f47b68b95 --- /dev/null +++ b/new_type_trial_balance/723/723.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_723.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Cross and Sons", + "bbox_px": [ + 173.71, + 179.42, + 506.8, + 223.31 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $90,076.17", + "bbox_px": [ + 173.81, + 393.9, + 1479.04, + 423.64 + ] + }, + { + "text": "Trade Receivables $50,603.31", + "bbox_px": [ + 173.83, + 447.32, + 1479.07, + 477.06 + ] + }, + { + "text": "Merchandise Inventory $117,378.57", + "bbox_px": [ + 173.86, + 500.74, + 1479.12, + 530.47 + ] + }, + { + "text": "Fixed Assets $380,518.42", + "bbox_px": [ + 173.88, + 554.15, + 1479.11, + 583.89 + ] + }, + { + "text": "Trade Payables $22,995.48", + "bbox_px": [ + 173.9, + 607.57, + 1479.14, + 637.31 + ] + }, + { + "text": "Debt Instruments $127,237.28", + "bbox_px": [ + 173.93, + 660.99, + 1479.16, + 690.73 + ] + }, + { + "text": "Ordinary Shares $294,857.32", + "bbox_px": [ + 173.95, + 714.41, + 1479.18, + 744.15 + ] + }, + { + "text": "Sales Revenue $372,045.68", + "bbox_px": [ + 173.97, + 767.83, + 1479.2, + 797.56 + ] + }, + { + "text": "Personnel Costs $69,085.47", + "bbox_px": [ + 174.0, + 821.24, + 1479.23, + 850.98 + ] + }, + { + "text": "Facility Costs $32,423.63", + "bbox_px": [ + 174.02, + 874.66, + 1479.25, + 904.4 + ] + }, + { + "text": "Net Adjusted Balance $1,557,221.33", + "bbox_px": [ + 257.38, + 930.16, + 1479.27, + 959.86 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/723/723.pdf b/new_type_trial_balance/723/723.pdf new file mode 100644 index 0000000000000000000000000000000000000000..1f4d322a0d0aa0868639f960db9c37707ddeef50 Binary files /dev/null and b/new_type_trial_balance/723/723.pdf differ diff --git a/new_type_trial_balance/723/723.xlsx b/new_type_trial_balance/723/723.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..e6e40883c702eced98ab9ff93c40f598d85d3dfe Binary files /dev/null and b/new_type_trial_balance/723/723.xlsx differ diff --git a/new_type_trial_balance/723/723_dirty_1.json b/new_type_trial_balance/723/723_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..7ee1ed8184438129c153fec72ebd54cd5a79dcb0 --- /dev/null +++ b/new_type_trial_balance/723/723_dirty_1.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_723_dirty_1.png", + "labels": [ + { + "text": "Cross and Sons", + "bbox": [ + 162, + 185, + 496, + 233 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $90,076.17", + "bbox": [ + 165, + 397, + 1470, + 441 + ] + }, + { + "text": "Trade Receivables $50,603.31", + "bbox": [ + 165, + 450, + 1471, + 494 + ] + }, + { + "text": "Merchandise Inventory $117,378.57", + "bbox": [ + 166, + 504, + 1471, + 548 + ] + }, + { + "text": "Fixed Assets $380,518.42", + "bbox": [ + 167, + 557, + 1472, + 601 + ] + }, + { + "text": "Trade Payables $22,995.48", + "bbox": [ + 167, + 610, + 1472, + 655 + ] + }, + { + "text": "Debt Instruments $127,237.28", + "bbox": [ + 168, + 664, + 1473, + 708 + ] + }, + { + "text": "Ordinary Shares $294,857.32", + "bbox": [ + 168, + 717, + 1474, + 761 + ] + }, + { + "text": "Sales Revenue $372,045.68", + "bbox": [ + 169, + 771, + 1474, + 815 + ] + }, + { + "text": "Personnel Costs $69,085.47", + "bbox": [ + 170, + 824, + 1475, + 868 + ] + }, + { + "text": "Facility Costs $32,423.63", + "bbox": [ + 170, + 878, + 1475, + 922 + ] + }, + { + "text": "Net Adjusted Balance $1,557,221.33", + "bbox": [ + 254, + 933, + 1476, + 976 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/723/723_dirty_2.json b/new_type_trial_balance/723/723_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..cb897ddc4d7e116fc54bb04975c255b59aad2213 --- /dev/null +++ b/new_type_trial_balance/723/723_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_723_dirty_2.png", + "labels": [ + { + "text": "Cross and Sons", + "bbox": [ + 164, + 184, + 497, + 231 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $90,076.17", + "bbox": [ + 166, + 387, + 1471, + 429 + ] + }, + { + "text": "Trade Receivables $50,603.31", + "bbox": [ + 166, + 440, + 1472, + 482 + ] + }, + { + "text": "Merchandise Inventory $117,378.57", + "bbox": [ + 167, + 494, + 1472, + 536 + ] + }, + { + "text": "Fixed Assets $380,518.42", + "bbox": [ + 168, + 547, + 1473, + 589 + ] + }, + { + "text": "Trade Payables $22,995.48", + "bbox": [ + 168, + 600, + 1473, + 643 + ] + }, + { + "text": "Debt Instruments $127,237.28", + "bbox": [ + 169, + 654, + 1474, + 696 + ] + }, + { + "text": "Ordinary Shares $294,857.32", + "bbox": [ + 169, + 707, + 1474, + 749 + ] + }, + { + "text": "Sales Revenue $372,045.68", + "bbox": [ + 170, + 761, + 1475, + 803 + ] + }, + { + "text": "Personnel Costs $69,085.47", + "bbox": [ + 170, + 814, + 1475, + 856 + ] + }, + { + "text": "Facility Costs $32,423.63", + "bbox": [ + 171, + 868, + 1476, + 910 + ] + }, + { + "text": "Net Adjusted Balance $1,557,221.33", + "bbox": [ + 254, + 923, + 1476, + 964 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/723/723_dirty_3.json b/new_type_trial_balance/723/723_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..fc73c7e4c26c1e5dc0fe8a09b2f8a094b578fc09 --- /dev/null +++ b/new_type_trial_balance/723/723_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_723_dirty_3.png", + "labels": [ + { + "text": "Cross and Sons", + "bbox": [ + 178, + 175, + 511, + 221 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $90,076.17", + "bbox": [ + 177, + 390, + 1482, + 426 + ] + }, + { + "text": "Trade Receivables $50,603.31", + "bbox": [ + 177, + 443, + 1482, + 479 + ] + }, + { + "text": "Merchandise Inventory $117,378.57", + "bbox": [ + 177, + 497, + 1482, + 533 + ] + }, + { + "text": "Fixed Assets $380,518.42", + "bbox": [ + 176, + 550, + 1482, + 586 + ] + }, + { + "text": "Trade Payables $22,995.48", + "bbox": [ + 176, + 603, + 1481, + 640 + ] + }, + { + "text": "Debt Instruments $127,237.28", + "bbox": [ + 176, + 657, + 1481, + 693 + ] + }, + { + "text": "Ordinary Shares $294,857.32", + "bbox": [ + 176, + 710, + 1481, + 746 + ] + }, + { + "text": "Sales Revenue $372,045.68", + "bbox": [ + 175, + 764, + 1480, + 800 + ] + }, + { + "text": "Personnel Costs $69,085.47", + "bbox": [ + 175, + 817, + 1480, + 853 + ] + }, + { + "text": "Facility Costs $32,423.63", + "bbox": [ + 175, + 871, + 1480, + 907 + ] + }, + { + "text": "Net Adjusted Balance $1,557,221.33", + "bbox": [ + 258, + 927, + 1480, + 962 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/723/723_dirty_4.json b/new_type_trial_balance/723/723_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..5cd5db1f392482216094fd6a13e872d47a49b694 --- /dev/null +++ b/new_type_trial_balance/723/723_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_723_dirty_4.png", + "labels": [ + { + "text": "Cross and Sons", + "bbox": [ + 186, + 168, + 520, + 216 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $90,076.17", + "bbox": [ + 184, + 385, + 1489, + 431 + ] + }, + { + "text": "Trade Receivables $50,603.31", + "bbox": [ + 183, + 438, + 1488, + 484 + ] + }, + { + "text": "Merchandise Inventory $117,378.57", + "bbox": [ + 182, + 492, + 1487, + 538 + ] + }, + { + "text": "Fixed Assets $380,518.42", + "bbox": [ + 181, + 545, + 1487, + 591 + ] + }, + { + "text": "Trade Payables $22,995.48", + "bbox": [ + 181, + 598, + 1486, + 645 + ] + }, + { + "text": "Debt Instruments $127,237.28", + "bbox": [ + 180, + 652, + 1485, + 698 + ] + }, + { + "text": "Ordinary Shares $294,857.32", + "bbox": [ + 179, + 705, + 1485, + 751 + ] + }, + { + "text": "Sales Revenue $372,045.68", + "bbox": [ + 179, + 759, + 1484, + 805 + ] + }, + { + "text": "Personnel Costs $69,085.47", + "bbox": [ + 178, + 812, + 1483, + 858 + ] + }, + { + "text": "Facility Costs $32,423.63", + "bbox": [ + 177, + 866, + 1482, + 912 + ] + }, + { + "text": "Net Adjusted Balance $1,557,221.33", + "bbox": [ + 259, + 922, + 1482, + 967 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/723/723_dirty_5.json b/new_type_trial_balance/723/723_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..583f5684728e5ba63fe4d22c27698f3f4656332d --- /dev/null +++ b/new_type_trial_balance/723/723_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_723_dirty_5.png", + "labels": [ + { + "text": "Cross and Sons", + "bbox": [ + 168, + 180, + 502, + 226 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $90,076.17", + "bbox": [ + 170, + 390, + 1475, + 426 + ] + }, + { + "text": "Trade Receivables $50,603.31", + "bbox": [ + 170, + 443, + 1475, + 479 + ] + }, + { + "text": "Merchandise Inventory $117,378.57", + "bbox": [ + 170, + 497, + 1475, + 533 + ] + }, + { + "text": "Fixed Assets $380,518.42", + "bbox": [ + 170, + 550, + 1475, + 586 + ] + }, + { + "text": "Trade Payables $22,995.48", + "bbox": [ + 171, + 603, + 1476, + 640 + ] + }, + { + "text": "Debt Instruments $127,237.28", + "bbox": [ + 171, + 657, + 1476, + 693 + ] + }, + { + "text": "Ordinary Shares $294,857.32", + "bbox": [ + 171, + 710, + 1476, + 746 + ] + }, + { + "text": "Sales Revenue $372,045.68", + "bbox": [ + 171, + 764, + 1477, + 800 + ] + }, + { + "text": "Personnel Costs $69,085.47", + "bbox": [ + 172, + 817, + 1477, + 853 + ] + }, + { + "text": "Facility Costs $32,423.63", + "bbox": [ + 172, + 871, + 1477, + 907 + ] + }, + { + "text": "Net Adjusted Balance $1,557,221.33", + "bbox": [ + 255, + 926, + 1477, + 961 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/723/723_pdf.json b/new_type_trial_balance/723/723_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..c8bc316ad0946965b6fbd9fa4d4e730a630de2b2 --- /dev/null +++ b/new_type_trial_balance/723/723_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_723.pdf", + "labels": [ + { + "text": "Cross and Sons", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 182.59766325, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $90,076.17", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.5734077499999, + 152.40670650000004 + ] + }, + { + "text": "Trade Receivables $50,603.31", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Merchandise Inventory $117,378.57", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.58460525, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $380,518.42", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Trade Payables $22,995.48", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Debt Instruments $127,237.28", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Ordinary Shares $294,857.32", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Sales Revenue $372,045.68", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Personnel Costs $69,085.47", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.5734077499999, + 306.25045650000004 + ] + }, + { + "text": "Facility Costs $32,423.63", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Net Adjusted Balance $1,557,221.33", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/728/728.json b/new_type_trial_balance/728/728.json new file mode 100644 index 0000000000000000000000000000000000000000..dc3d8dfb05ead4b4ace49d80430e840d9a3fb0b7 --- /dev/null +++ b/new_type_trial_balance/728/728.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_728.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Burgess-Martin", + "bbox_px": [ + 158.04, + 184.84, + 479.57, + 233.84 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $73,187.98", + "bbox_px": [ + 161.56, + 383.61, + 1467.08, + 434.13 + ] + }, + { + "text": "Receivables $82,349.16", + "bbox_px": [ + 162.43, + 437.02, + 1467.96, + 487.55 + ] + }, + { + "text": "Stock $77,947.55", + "bbox_px": [ + 163.3, + 490.44, + 1468.83, + 540.96 + ] + }, + { + "text": "Fixed Assets $430,922.04", + "bbox_px": [ + 164.18, + 543.85, + 1469.7, + 594.37 + ] + }, + { + "text": "Payables $66,136.89", + "bbox_px": [ + 165.05, + 597.26, + 1470.58, + 647.78 + ] + }, + { + "text": "Borrowings $222,457.91", + "bbox_px": [ + 165.93, + 650.67, + 1471.45, + 701.19 + ] + }, + { + "text": "Capital Stock $150,158.03", + "bbox_px": [ + 166.8, + 704.08, + 1472.32, + 754.6 + ] + }, + { + "text": "Income $538,588.12", + "bbox_px": [ + 167.67, + 757.49, + 1473.2, + 808.01 + ] + }, + { + "text": "Compensation Expense $140,679.98", + "bbox_px": [ + 168.55, + 810.9, + 1474.07, + 861.42 + ] + }, + { + "text": "Lease and Utility Costs $41,532.89", + "bbox_px": [ + 169.42, + 864.31, + 1474.95, + 914.83 + ] + }, + { + "text": "Net Adjusted Balance $1,823,960.55", + "bbox_px": [ + 253.65, + 919.81, + 1475.85, + 968.96 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/728/728_dirty_1.json b/new_type_trial_balance/728/728_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..09b7d909bc751be2a5fda819b75c31907f1558b8 --- /dev/null +++ b/new_type_trial_balance/728/728_dirty_1.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_728_dirty_1.png", + "labels": [ + { + "text": "Burgess-Martin", + "bbox": [ + 180, + 174, + 501, + 220 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $73,187.98", + "bbox": [ + 178, + 389, + 1483, + 427 + ] + }, + { + "text": "Receivables $82,349.16", + "bbox": [ + 178, + 442, + 1483, + 480 + ] + }, + { + "text": "Stock $77,947.55", + "bbox": [ + 178, + 496, + 1483, + 534 + ] + }, + { + "text": "Fixed Assets $430,922.04", + "bbox": [ + 177, + 549, + 1482, + 587 + ] + }, + { + "text": "Payables $66,136.89", + "bbox": [ + 177, + 602, + 1482, + 641 + ] + }, + { + "text": "Borrowings $222,457.91", + "bbox": [ + 177, + 656, + 1482, + 694 + ] + }, + { + "text": "Capital Stock $150,158.03", + "bbox": [ + 176, + 709, + 1481, + 747 + ] + }, + { + "text": "Income $538,588.12", + "bbox": [ + 176, + 763, + 1481, + 801 + ] + }, + { + "text": "Compensation Expense $140,679.98", + "bbox": [ + 176, + 816, + 1481, + 854 + ] + }, + { + "text": "Lease and Utility Costs $41,532.89", + "bbox": [ + 175, + 870, + 1480, + 908 + ] + }, + { + "text": "Net Adjusted Balance $1,823,960.55", + "bbox": [ + 258, + 926, + 1480, + 963 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/755/755.json b/new_type_trial_balance/755/755.json new file mode 100644 index 0000000000000000000000000000000000000000..79b50662dfbabc15ce424303277227928d879147 --- /dev/null +++ b/new_type_trial_balance/755/755.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_755.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Rowe-Smith", + "bbox_px": [ + 168.0, + 181.79, + 421.06, + 227.11 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $91,818.11", + "bbox_px": [ + 169.34, + 390.14, + 1474.72, + 427.43 + ] + }, + { + "text": "Outstanding Invoices $37,252.26", + "bbox_px": [ + 169.67, + 443.56, + 1475.05, + 480.85 + ] + }, + { + "text": "Stock on Hand $72,754.59", + "bbox_px": [ + 170.0, + 496.97, + 1475.38, + 534.26 + ] + }, + { + "text": "Fixed Assets $323,155.28", + "bbox_px": [ + 170.34, + 550.39, + 1475.71, + 587.68 + ] + }, + { + "text": "Vendor Liabilities $65,907.08", + "bbox_px": [ + 170.67, + 603.81, + 1476.05, + 641.1 + ] + }, + { + "text": "Debentures Payable $163,257.15", + "bbox_px": [ + 171.0, + 657.23, + 1476.38, + 694.51 + ] + }, + { + "text": "Ordinary Shares $322,722.76", + "bbox_px": [ + 171.33, + 710.64, + 1476.71, + 747.93 + ] + }, + { + "text": "Income $382,197.49", + "bbox_px": [ + 171.67, + 764.06, + 1477.04, + 801.35 + ] + }, + { + "text": "Compensation Expense $106,741.90", + "bbox_px": [ + 172.0, + 817.48, + 1477.37, + 854.76 + ] + }, + { + "text": "Lease and Services Costs $26,943.83", + "bbox_px": [ + 172.33, + 870.89, + 1477.71, + 908.18 + ] + }, + { + "text": "Net Adjusted Balance $1,592,750.45", + "bbox_px": [ + 256.01, + 926.39, + 1478.05, + 963.16 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/755/755.pdf b/new_type_trial_balance/755/755.pdf new file mode 100644 index 0000000000000000000000000000000000000000..1e7fe7d2f7e937eac9bcb40e4d3968d4be8d99cf Binary files /dev/null and b/new_type_trial_balance/755/755.pdf differ diff --git a/new_type_trial_balance/755/755.xlsx b/new_type_trial_balance/755/755.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..3fb051a4e8486866b680d7fc912b387b7cda5b49 Binary files /dev/null and b/new_type_trial_balance/755/755.xlsx differ diff --git a/new_type_trial_balance/755/755_dirty_1.json b/new_type_trial_balance/755/755_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..14b3e77352c7d6095df890f707f9b88c5169dbd6 --- /dev/null +++ b/new_type_trial_balance/755/755_dirty_1.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_755_dirty_1.png", + "labels": [ + { + "text": "Rowe-Smith", + "bbox": [ + 187, + 171, + 441, + 219 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $91,818.11", + "bbox": [ + 184, + 384, + 1490, + 432 + ] + }, + { + "text": "Outstanding Invoices $37,252.26", + "bbox": [ + 184, + 437, + 1489, + 485 + ] + }, + { + "text": "Stock on Hand $72,754.59", + "bbox": [ + 183, + 491, + 1488, + 539 + ] + }, + { + "text": "Fixed Assets $323,155.28", + "bbox": [ + 182, + 544, + 1487, + 592 + ] + }, + { + "text": "Vendor Liabilities $65,907.08", + "bbox": [ + 181, + 597, + 1487, + 646 + ] + }, + { + "text": "Debentures Payable $163,257.15", + "bbox": [ + 180, + 651, + 1486, + 699 + ] + }, + { + "text": "Ordinary Shares $322,722.76", + "bbox": [ + 180, + 704, + 1485, + 752 + ] + }, + { + "text": "Income $382,197.49", + "bbox": [ + 179, + 758, + 1484, + 806 + ] + }, + { + "text": "Compensation Expense $106,741.90", + "bbox": [ + 178, + 811, + 1483, + 859 + ] + }, + { + "text": "Lease and Services Costs $26,943.83", + "bbox": [ + 177, + 865, + 1483, + 913 + ] + }, + { + "text": "Net Adjusted Balance $1,592,750.45", + "bbox": [ + 260, + 921, + 1482, + 968 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/755/755_dirty_2.json b/new_type_trial_balance/755/755_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..6dc7699ae6312a393f390ad783c327f3c6526499 --- /dev/null +++ b/new_type_trial_balance/755/755_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_755_dirty_2.png", + "labels": [ + { + "text": "Rowe-Smith", + "bbox": [ + 183, + 167, + 436, + 214 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $91,818.11", + "bbox": [ + 181, + 387, + 1486, + 429 + ] + }, + { + "text": "Outstanding Invoices $37,252.26", + "bbox": [ + 180, + 440, + 1486, + 482 + ] + }, + { + "text": "Stock on Hand $72,754.59", + "bbox": [ + 180, + 494, + 1485, + 536 + ] + }, + { + "text": "Fixed Assets $323,155.28", + "bbox": [ + 179, + 547, + 1484, + 589 + ] + }, + { + "text": "Vendor Liabilities $65,907.08", + "bbox": [ + 179, + 600, + 1484, + 643 + ] + }, + { + "text": "Debentures Payable $163,257.15", + "bbox": [ + 178, + 654, + 1483, + 696 + ] + }, + { + "text": "Ordinary Shares $322,722.76", + "bbox": [ + 178, + 707, + 1483, + 749 + ] + }, + { + "text": "Income $382,197.49", + "bbox": [ + 177, + 761, + 1482, + 803 + ] + }, + { + "text": "Compensation Expense $106,741.90", + "bbox": [ + 177, + 814, + 1482, + 856 + ] + }, + { + "text": "Lease and Services Costs $26,943.83", + "bbox": [ + 176, + 868, + 1481, + 910 + ] + }, + { + "text": "Net Adjusted Balance $1,592,750.45", + "bbox": [ + 259, + 924, + 1481, + 965 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/755/755_dirty_3.json b/new_type_trial_balance/755/755_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..5ee2939eb114b25ab8ca8252fb6dbecfce9e8b37 --- /dev/null +++ b/new_type_trial_balance/755/755_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_755_dirty_3.png", + "labels": [ + { + "text": "Rowe-Smith", + "bbox": [ + 188, + 164, + 441, + 212 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $91,818.11", + "bbox": [ + 185, + 384, + 1490, + 432 + ] + }, + { + "text": "Outstanding Invoices $37,252.26", + "bbox": [ + 184, + 437, + 1489, + 485 + ] + }, + { + "text": "Stock on Hand $72,754.59", + "bbox": [ + 183, + 491, + 1488, + 539 + ] + }, + { + "text": "Fixed Assets $323,155.28", + "bbox": [ + 182, + 544, + 1488, + 592 + ] + }, + { + "text": "Vendor Liabilities $65,907.08", + "bbox": [ + 182, + 597, + 1487, + 646 + ] + }, + { + "text": "Debentures Payable $163,257.15", + "bbox": [ + 181, + 651, + 1486, + 699 + ] + }, + { + "text": "Ordinary Shares $322,722.76", + "bbox": [ + 180, + 704, + 1485, + 752 + ] + }, + { + "text": "Income $382,197.49", + "bbox": [ + 179, + 758, + 1484, + 806 + ] + }, + { + "text": "Compensation Expense $106,741.90", + "bbox": [ + 178, + 811, + 1484, + 859 + ] + }, + { + "text": "Lease and Services Costs $26,943.83", + "bbox": [ + 178, + 865, + 1483, + 913 + ] + }, + { + "text": "Net Adjusted Balance $1,592,750.45", + "bbox": [ + 260, + 921, + 1482, + 968 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/755/755_dirty_4.json b/new_type_trial_balance/755/755_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..7ff45f5d742d5fe221dc0c2d661f355363788a5b 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"text": "Compensation Expense $106,741.90", + "bbox": [ + 169, + 813, + 1475, + 857 + ] + }, + { + "text": "Lease and Services Costs $26,943.83", + "bbox": [ + 170, + 867, + 1475, + 911 + ] + }, + { + "text": "Net Adjusted Balance $1,592,750.45", + "bbox": [ + 254, + 922, + 1476, + 965 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/755/755_dirty_5.json b/new_type_trial_balance/755/755_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..eefbb6e403d2d64504b7ebb6127b0b1f985b1fdd --- /dev/null +++ b/new_type_trial_balance/755/755_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_755_dirty_5.png", + "labels": [ + { + "text": "Rowe-Smith", + "bbox": [ + 191, + 170, + 445, + 218 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $91,818.11", + "bbox": [ + 187, + 382, + 1493, + 435 + ] + }, + { + "text": "Outstanding Invoices $37,252.26", + "bbox": [ + 186, + 435, + 1492, + 488 + ] + }, + { + "text": "Stock on Hand $72,754.59", + "bbox": [ + 185, + 489, + 1491, + 542 + ] + }, + { + "text": "Fixed Assets $323,155.28", + "bbox": [ + 184, + 542, + 1490, + 595 + ] + }, + { + "text": "Vendor Liabilities $65,907.08", + "bbox": [ + 183, + 595, + 1489, + 649 + ] + }, + { + "text": "Debentures Payable $163,257.15", + "bbox": [ + 182, + 649, + 1488, + 702 + ] + }, + { + "text": "Ordinary Shares $322,722.76", + "bbox": [ + 181, + 702, + 1487, + 754 + ] + }, + { + "text": "Income $382,197.49", + "bbox": [ + 180, + 756, + 1486, + 808 + ] + }, + { + "text": "Compensation Expense $106,741.90", + "bbox": [ + 179, + 809, + 1485, + 861 + ] + }, + { + "text": "Lease and Services Costs $26,943.83", + "bbox": [ + 178, + 863, + 1484, + 915 + ] + }, + { + "text": "Net Adjusted Balance $1,592,750.45", + "bbox": [ + 260, + 919, + 1483, + 970 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/755/755_pdf.json b/new_type_trial_balance/755/755_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..3fbcc5b1d68dd76be54a2a0459de297a982b58c0 --- /dev/null +++ b/new_type_trial_balance/755/755_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_755.pdf", + "labels": [ + { + "text": "Rowe-Smith", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 153.69641324999998, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $91,818.11", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.57570425, + 152.40670650000004 + ] + }, + { + "text": "Outstanding Invoices $37,252.26", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock on Hand $72,754.59", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.5734077499999, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $323,155.28", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Vendor 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345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/803/803.json b/new_type_trial_balance/803/803.json new file mode 100644 index 0000000000000000000000000000000000000000..e588f89ef3edc1b5fcc6c5365762ee7664e66808 --- /dev/null +++ b/new_type_trial_balance/803/803.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_803.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Parker-Jimenez", + "bbox_px": [ + 152.66, + 186.72, + 476.94, + 237.53 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $56,156.28", + "bbox_px": [ + 157.36, + 380.1, + 1462.91, + 437.81 + ] + }, + { + "text": "Trade Receivables $75,152.18", + "bbox_px": [ + 158.53, + 433.51, + 1464.07, + 491.21 + ] + }, + { + "text": "Stock on Hand $117,392.77", + "bbox_px": [ + 159.69, + 486.91, + 1465.27, + 544.62 + ] + }, + { + "text": "Fixed Assets $467,628.61", + "bbox_px": [ + 160.86, + 540.32, + 1466.41, + 598.02 + ] + }, + { + "text": "Trade Payables $46,831.24", + "bbox_px": [ + 162.03, + 593.72, + 1467.58, + 651.43 + ] + }, + { + "text": "Borrowings $141,211.87", + "bbox_px": [ + 163.2, + 647.13, + 1468.78, + 704.84 + ] + }, + { + "text": "Ordinary Shares $197,951.68", + "bbox_px": [ + 164.37, + 700.53, + 1469.91, + 758.24 + ] + }, + { + "text": "Sales Revenue $435,164.40", + "bbox_px": [ + 165.54, + 753.94, + 1471.08, + 811.65 + ] + }, + { + "text": "Compensation Expense $128,402.19", + "bbox_px": [ + 166.7, + 807.34, + 1472.25, + 865.05 + ] + }, + { + "text": "Lease and Services Expense $33,080.28", + "bbox_px": [ + 167.87, + 860.75, + 1473.42, + 918.46 + ] + }, + { + "text": "Adjusted Account Total $1,698,971.50", + "bbox_px": [ + 252.4, + 916.24, + 1474.63, + 972.12 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/803/803.pdf b/new_type_trial_balance/803/803.pdf new file mode 100644 index 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{ + "text": "Trade Receivables $75,152.18", + "bbox": [ + 164, + 438, + 1469, + 484 + ] + }, + { + "text": "Stock on Hand $117,392.77", + "bbox": [ + 165, + 492, + 1470, + 538 + ] + }, + { + "text": "Fixed Assets $467,628.61", + "bbox": [ + 166, + 545, + 1471, + 591 + ] + }, + { + "text": "Trade Payables $46,831.24", + "bbox": [ + 166, + 598, + 1472, + 645 + ] + }, + { + "text": "Borrowings $141,211.87", + "bbox": [ + 167, + 652, + 1472, + 698 + ] + }, + { + "text": "Ordinary Shares $197,951.68", + "bbox": [ + 168, + 705, + 1473, + 751 + ] + }, + { + "text": "Sales Revenue $435,164.40", + "bbox": [ + 168, + 759, + 1474, + 805 + ] + }, + { + "text": "Compensation Expense $128,402.19", + "bbox": [ + 169, + 812, + 1474, + 858 + ] + }, + { + "text": "Lease and Services Expense $33,080.28", + "bbox": [ + 170, + 866, + 1475, + 912 + ] + }, + { + "text": "Adjusted Account Total $1,698,971.50", + "bbox": [ + 253, + 921, + 1476, + 966 + ] + } + ] +} \ No newline at end of file diff --git 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Account Total $1,698,971.50", + "bbox": [ + 255, + 932, + 1477, + 969 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/803/803_dirty_4.json b/new_type_trial_balance/803/803_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..261f0e4214e94911193db20f20d163e1e38cfbdc --- /dev/null +++ b/new_type_trial_balance/803/803_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_803_dirty_4.png", + "labels": [ + { + "text": "Parker-Jimenez", + "bbox": [ + 178, + 173, + 501, + 219 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $56,156.28", + "bbox": [ + 177, + 390, + 1482, + 426 + ] + }, + { + "text": "Trade Receivables $75,152.18", + "bbox": [ + 177, + 443, + 1482, + 479 + ] + }, + { + "text": "Stock on Hand $117,392.77", + "bbox": [ + 177, + 497, + 1482, + 533 + ] + }, + { + "text": "Fixed Assets $467,628.61", + "bbox": [ + 176, + 550, + 1482, + 586 + ] + }, + { + "text": "Trade Payables 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] + }, + { + "text": "Lease and Services Expense $33,080.28", + "bbox": [ + 175, + 871, + 1480, + 907 + ] + }, + { + "text": "Adjusted Account Total $1,698,971.50", + "bbox": [ + 258, + 926, + 1480, + 962 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/803/803_pdf.json b/new_type_trial_balance/803/803_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..8d984a0bc4c9650d55eb047cc131d7f36e9d17d4 --- /dev/null +++ b/new_type_trial_balance/803/803_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_803.pdf", + "labels": [ + { + "text": "Parker-Jimenez", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 179.11691324999998, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $56,156.28", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.5734077499999, + 152.40670650000004 + ] + }, + { + "text": "Trade Receivables $75,152.18", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock on Hand $117,392.77", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.58460525, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $467,628.61", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Trade Payables $46,831.24", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Borrowings $141,211.87", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.58460525, + 248.55905025000004 + ] + }, + { + "text": "Ordinary Shares $197,951.68", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Sales Revenue $435,164.40", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Compensation Expense $128,402.19", + "bbox": [ 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"bbox_px": [ + 176.96, + 391.73, + 1482.28, + 425.81 + ] + }, + { + "text": "Trade Receivables $49,714.08", + "bbox_px": [ + 176.76, + 445.15, + 1482.08, + 479.23 + ] + }, + { + "text": "Merchandise Inventory $43,595.11", + "bbox_px": [ + 176.56, + 498.57, + 1481.89, + 532.65 + ] + }, + { + "text": "Fixed Assets $200,542.34", + "bbox_px": [ + 176.35, + 551.99, + 1481.67, + 586.07 + ] + }, + { + "text": "Trade Payables $57,716.67", + "bbox_px": [ + 176.15, + 605.4, + 1481.48, + 639.48 + ] + }, + { + "text": "Debt Obligations $115,402.66", + "bbox_px": [ + 175.95, + 658.82, + 1481.31, + 692.9 + ] + }, + { + "text": "Share Capital $327,668.73", + "bbox_px": [ + 175.75, + 712.24, + 1481.07, + 746.32 + ] + }, + { + "text": "Sales Revenue $361,005.80", + "bbox_px": [ + 175.55, + 765.66, + 1480.87, + 799.74 + ] + }, + { + "text": "Personnel Costs $84,074.83", + "bbox_px": [ + 175.35, + 819.07, + 1480.67, + 853.15 + ] + }, + { + "text": "Operating Expenses $39,954.45", + "bbox_px": [ + 175.15, + 872.49, + 1480.47, + 906.57 + ] + }, + { + "text": "Adjusted Final Balance $1,425,585.62", + "bbox_px": [ + 258.27, + 928.31, + 1480.26, + 962.07 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/865/865.pdf b/new_type_trial_balance/865/865.pdf new file mode 100644 index 0000000000000000000000000000000000000000..6acf734036999ac7868a085bd933aff05410d7aa Binary files /dev/null and b/new_type_trial_balance/865/865.pdf differ diff --git a/new_type_trial_balance/865/865.xlsx b/new_type_trial_balance/865/865.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..452d54ababd503fd2fd2a064e729671309a60cda Binary files /dev/null and b/new_type_trial_balance/865/865.xlsx differ diff --git a/new_type_trial_balance/865/865_dirty_1.json b/new_type_trial_balance/865/865_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..0c43ac0dddd2ddf41b73167d5d19aa647920fb1a --- /dev/null +++ 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"text": "Merchandise Inventory $43,595.11", + "bbox": [ + 177, + 510, + 1482, + 546 + ] + }, + { + "text": "Fixed Assets $200,542.34", + "bbox": [ + 177, + 563, + 1482, + 599 + ] + }, + { + "text": "Trade Payables $57,716.67", + "bbox": [ + 176, + 616, + 1482, + 653 + ] + }, + { + "text": "Debt Obligations $115,402.66", + "bbox": [ + 176, + 670, + 1481, + 706 + ] + }, + { + "text": "Share Capital $327,668.73", + "bbox": [ + 176, + 723, + 1481, + 759 + ] + }, + { + "text": "Sales Revenue $361,005.80", + "bbox": [ + 176, + 777, + 1481, + 813 + ] + }, + { + "text": "Personnel Costs $84,074.83", + "bbox": [ + 175, + 830, + 1480, + 866 + ] + }, + { + "text": "Operating Expenses $39,954.45", + "bbox": [ + 175, + 884, + 1480, + 920 + ] + }, + { + "text": "Adjusted Final Balance $1,425,585.62", + "bbox": [ + 258, + 939, + 1480, + 975 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/865/865_dirty_3.json b/new_type_trial_balance/865/865_dirty_3.json new file mode 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1487, + 771 + ] + }, + { + "text": "Sales Revenue $361,005.80", + "bbox": [ + 181, + 771, + 1486, + 825 + ] + }, + { + "text": "Personnel Costs $84,074.83", + "bbox": [ + 180, + 824, + 1485, + 878 + ] + }, + { + "text": "Operating Expenses $39,954.45", + "bbox": [ + 179, + 878, + 1484, + 932 + ] + }, + { + "text": "Adjusted Final Balance $1,425,585.62", + "bbox": [ + 261, + 935, + 1483, + 987 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/865/865_dirty_4.json b/new_type_trial_balance/865/865_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..cb286b213c1fa7f8131eab7a1fb81d2769c05e0d --- /dev/null +++ b/new_type_trial_balance/865/865_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_865_dirty_4.png", + "labels": [ + { + "text": "Joseph Group", + "bbox": [ + 178, + 179, + 474, + 225 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $145,910.95", + "bbox": [ + 177, + 402, + 1482, + 438 + ] + }, + { + "text": "Trade Receivables $49,714.08", + "bbox": [ + 177, + 455, + 1482, + 491 + ] + }, + { + "text": "Merchandise Inventory $43,595.11", + "bbox": [ + 177, + 509, + 1482, + 545 + ] + }, + { + "text": "Fixed Assets $200,542.34", + "bbox": [ + 176, + 562, + 1482, + 598 + ] + }, + { + "text": "Trade Payables $57,716.67", + "bbox": [ + 176, + 615, + 1481, + 652 + ] + }, + { + "text": "Debt Obligations $115,402.66", + "bbox": [ + 176, + 669, + 1481, + 705 + ] + }, + { + "text": "Share Capital $327,668.73", + "bbox": [ + 176, + 722, + 1481, + 758 + ] + }, + { + "text": "Sales Revenue $361,005.80", + "bbox": [ + 175, + 776, + 1480, + 812 + ] + }, + { + "text": "Personnel Costs $84,074.83", + "bbox": [ + 175, + 829, + 1480, + 865 + ] + }, + { + "text": "Operating Expenses $39,954.45", + "bbox": [ + 175, + 883, + 1480, + 919 + ] + }, + { + "text": "Adjusted Final Balance $1,425,585.62", + "bbox": [ + 258, + 939, + 1480, + 974 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/865/865_dirty_5.json b/new_type_trial_balance/865/865_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..38880bfbc3890e6b2b94a388b990edacf663251d --- /dev/null +++ b/new_type_trial_balance/865/865_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_865_dirty_5.png", + "labels": [ + { + "text": "Joseph Group", + "bbox": [ + 170, + 183, + 466, + 228 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $145,910.95", + "bbox": [ + 170, + 391, + 1476, + 425 + ] + }, + { + "text": "Trade Receivables $49,714.08", + "bbox": [ + 171, + 444, + 1476, + 478 + ] + }, + { + "text": "Merchandise Inventory $43,595.11", + "bbox": [ + 171, + 498, + 1476, + 532 + ] + }, + { + "text": "Fixed Assets $200,542.34", + "bbox": [ + 171, + 551, + 1476, + 585 + ] + }, + { + "text": "Trade Payables $57,716.67", + "bbox": [ + 171, + 604, + 1476, + 639 + ] + }, + { + "text": "Debt Obligations $115,402.66", + "bbox": [ + 171, + 658, + 1477, + 692 + ] + }, + { + "text": "Share Capital $327,668.73", + "bbox": [ + 172, + 711, + 1477, + 745 + ] + }, + { + "text": "Sales Revenue $361,005.80", + "bbox": [ + 172, + 765, + 1477, + 799 + ] + }, + { + "text": "Personnel Costs $84,074.83", + "bbox": [ + 172, + 818, + 1477, + 852 + ] + }, + { + "text": "Operating Expenses $39,954.45", + "bbox": [ + 172, + 872, + 1477, + 906 + ] + }, + { + "text": "Adjusted Final Balance $1,425,585.62", + "bbox": [ + 256, + 927, + 1478, + 961 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/865/865_pdf.json b/new_type_trial_balance/865/865_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..750cca13e0c476f64f4d27f8dfc47bf671e81ba5 --- /dev/null +++ b/new_type_trial_balance/865/865_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_865.pdf", + "labels": [ + { + "text": "Joseph Group", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 169.46216325, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $145,910.95", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.571808, + 152.40670650000004 + ] + }, + { + "text": "Trade Receivables $49,714.08", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Merchandise Inventory $43,595.11", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.57570425, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $200,542.34", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Trade Payables $57,716.67", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Debt Obligations $115,402.66", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.58460525, + 248.55905025000004 + ] + }, + { + "text": "Share Capital 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1477.92, + 963.52 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/944/944.pdf b/new_type_trial_balance/944/944.pdf new file mode 100644 index 0000000000000000000000000000000000000000..4724d526249095fcda2b83b25bc7f70fc31df5b4 Binary files /dev/null and b/new_type_trial_balance/944/944.pdf differ diff --git a/new_type_trial_balance/944/944.xlsx b/new_type_trial_balance/944/944.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..143bcb06d6042458e886b5492e18f7badaf971a9 Binary files /dev/null and b/new_type_trial_balance/944/944.xlsx differ diff --git a/new_type_trial_balance/944/944_dirty_1.json b/new_type_trial_balance/944/944_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..8980ab007276fd90a593025acdaa127ed62cbff6 --- /dev/null +++ b/new_type_trial_balance/944/944_dirty_1.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_944_dirty_1.png", + "labels": [ + { + "text": "Nolan, Robinson and 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"img_file": "new_type_trial_balance_948.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Morales-Cox", + "bbox_px": [ + 173.21, + 179.65, + 435.79, + 223.65 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $84,340.32", + "bbox_px": [ + 173.41, + 393.57, + 1478.66, + 423.97 + ] + }, + { + "text": "Outstanding Receivables $72,246.32", + "bbox_px": [ + 173.46, + 446.98, + 1478.71, + 477.39 + ] + }, + { + "text": "Stock on Hand $41,696.06", + "bbox_px": [ + 173.51, + 500.4, + 1478.76, + 530.81 + ] + }, + { + "text": "Fixed Assets $330,286.97", + "bbox_px": [ + 173.56, + 553.82, + 1478.81, + 584.23 + ] + }, + { + "text": "Vendor Liabilities $66,224.62", + "bbox_px": [ + 173.61, + 607.24, + 1478.87, + 637.64 + ] + }, + { + "text": "Debt Obligations $215,001.70", + "bbox_px": [ + 173.67, + 660.66, + 1478.91, + 691.06 + ] + }, + { + "text": "Shareholder Equity $192,691.29", + "bbox_px": [ + 173.72, + 714.07, + 1478.96, + 744.48 + ] + }, + { + "text": "Sales Income $309,319.43", + "bbox_px": [ + 173.77, + 767.49, + 1479.01, + 797.9 + ] + }, + { + "text": "Personnel Costs $156,469.78", + "bbox_px": [ + 173.82, + 820.91, + 1479.06, + 851.32 + ] + }, + { + "text": "Facility Expenses $21,705.70", + "bbox_px": [ + 173.87, + 874.33, + 1479.12, + 904.73 + ] + }, + { + "text": "Net Balance $1,489,982.19", + "bbox_px": [ + 257.25, + 929.83, + 1479.17, + 960.16 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/948/948.pdf b/new_type_trial_balance/948/948.pdf new file mode 100644 index 0000000000000000000000000000000000000000..93f60d6bfd4280279ee3a109cd35081b29139475 Binary files /dev/null and b/new_type_trial_balance/948/948.pdf differ diff --git a/new_type_trial_balance/948/948.xlsx b/new_type_trial_balance/948/948.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..a1779751053fb33370fc61f066b930ed509c88f8 Binary files /dev/null and b/new_type_trial_balance/948/948.xlsx differ diff --git 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1478, + 690 + ] + }, + { + "text": "Shareholder Equity $192,691.29", + "bbox": [ + 173, + 713, + 1478, + 743 + ] + }, + { + "text": "Sales Income $309,319.43", + "bbox": [ + 173, + 767, + 1478, + 797 + ] + }, + { + "text": "Personnel Costs $156,469.78", + "bbox": [ + 173, + 820, + 1478, + 850 + ] + }, + { + "text": "Facility Expenses $21,705.70", + "bbox": [ + 173, + 874, + 1478, + 904 + ] + }, + { + "text": "Net Balance $1,489,982.19", + "bbox": [ + 256, + 929, + 1478, + 959 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/948/948_dirty_2.json b/new_type_trial_balance/948/948_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..9be06dcf1f2eccd8ee18baab87a3f3fd8ce209f5 --- /dev/null +++ b/new_type_trial_balance/948/948_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_948_dirty_2.png", + "labels": [ + { + "text": "Morales-Cox", + "bbox": [ + 177, + 171, + 440, + 216 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $84,340.32", + "bbox": [ + 177, + 376, + 1482, + 410 + ] + }, + { + "text": "Outstanding Receivables $72,246.32", + "bbox": [ + 176, + 429, + 1481, + 463 + ] + }, + { + "text": "Stock on Hand $41,696.06", + "bbox": [ + 176, + 483, + 1481, + 517 + ] + }, + { + "text": "Fixed Assets $330,286.97", + "bbox": [ + 176, + 536, + 1481, + 570 + ] + }, + { + "text": "Vendor Liabilities $66,224.62", + "bbox": [ + 176, + 589, + 1481, + 624 + ] + }, + { + "text": "Debt Obligations $215,001.70", + "bbox": [ + 175, + 643, + 1481, + 677 + ] + }, + { + "text": "Shareholder Equity $192,691.29", + "bbox": [ + 175, + 696, + 1480, + 730 + ] + }, + { + "text": "Sales Income $309,319.43", + "bbox": [ + 175, + 750, + 1480, + 784 + ] + }, + { + "text": "Personnel Costs $156,469.78", + "bbox": [ + 175, + 803, + 1480, + 837 + ] + }, + { + "text": "Facility Expenses $21,705.70", + "bbox": [ + 175, + 857, + 1480, + 891 + ] + }, + { + "text": "Net Balance $1,489,982.19", + "bbox": [ + 257, + 912, + 1479, + 946 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/948/948_dirty_3.json b/new_type_trial_balance/948/948_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..535c5ecbecf9f3f165692489e7676583a96a4b29 --- /dev/null +++ b/new_type_trial_balance/948/948_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_948_dirty_3.png", + "labels": [ + { + "text": "Morales-Cox", + "bbox": [ + 166, + 186, + 428, + 232 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $84,340.32", + "bbox": [ + 168, + 388, + 1473, + 428 + ] + }, + { + "text": "Outstanding Receivables $72,246.32", + "bbox": [ + 168, + 441, + 1473, + 481 + ] + }, + { + "text": "Stock on Hand $41,696.06", + "bbox": [ + 168, + 495, + 1474, + 535 + ] + }, + { + "text": "Fixed Assets $330,286.97", + "bbox": [ + 169, + 548, + 1474, + 588 + ] + }, + { + "text": "Vendor Liabilities $66,224.62", + "bbox": [ + 169, + 601, + 1474, + 642 + ] + }, + { + "text": "Debt Obligations $215,001.70", + "bbox": [ + 170, + 655, + 1475, + 695 + ] + }, + { + "text": "Shareholder Equity $192,691.29", + "bbox": [ + 170, + 708, + 1475, + 748 + ] + }, + { + "text": "Sales Income $309,319.43", + "bbox": [ + 170, + 762, + 1476, + 802 + ] + }, + { + "text": "Personnel Costs $156,469.78", + "bbox": [ + 171, + 815, + 1476, + 855 + ] + }, + { + "text": "Facility Expenses $21,705.70", + "bbox": [ + 171, + 869, + 1476, + 909 + ] + }, + { + "text": "Net Balance $1,489,982.19", + "bbox": [ + 255, + 924, + 1477, + 963 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/948/948_dirty_4.json b/new_type_trial_balance/948/948_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..7715481945ea288eecdeb87c4c9a072bb7e3052c --- /dev/null +++ b/new_type_trial_balance/948/948_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_948_dirty_4.png", + "labels": [ + { + "text": "Morales-Cox", + "bbox": [ + 168, + 178, + 430, + 223 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $84,340.32", + "bbox": [ + 169, + 390, + 1474, + 426 + ] + }, + { + "text": "Outstanding Receivables $72,246.32", + "bbox": [ + 169, + 443, + 1474, + 479 + ] + }, + { + "text": "Stock on Hand $41,696.06", + "bbox": [ + 170, + 497, + 1475, + 533 + ] + }, + { + "text": "Fixed Assets $330,286.97", + "bbox": [ + 170, + 550, + 1475, + 586 + ] + }, + { + "text": "Vendor Liabilities $66,224.62", + "bbox": [ + 170, + 603, + 1475, + 640 + ] + }, + { + "text": "Debt Obligations $215,001.70", + "bbox": [ + 170, + 657, + 1476, + 693 + ] + }, + { + "text": "Shareholder Equity $192,691.29", + "bbox": [ + 171, + 710, + 1476, + 746 + ] + }, + { + "text": "Sales Income $309,319.43", + "bbox": [ + 171, + 764, + 1476, + 800 + ] + }, + { + "text": "Personnel Costs $156,469.78", + "bbox": [ + 171, + 817, + 1477, + 853 + ] + }, + { + "text": "Facility Expenses $21,705.70", + "bbox": [ + 172, + 871, + 1477, + 907 + ] + }, + { + "text": "Net Balance $1,489,982.19", + "bbox": [ + 255, + 926, + 1477, + 962 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/948/948_dirty_5.json b/new_type_trial_balance/948/948_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..54aa4073c2951e7f37fcf6ff0372126e7a925709 --- /dev/null +++ b/new_type_trial_balance/948/948_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_948_dirty_5.png", + "labels": [ + { + "text": "Morales-Cox", + "bbox": [ + 163, + 183, + 426, + 229 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $84,340.32", + "bbox": [ + 166, + 387, + 1471, + 429 + ] + }, + { + "text": "Outstanding Receivables $72,246.32", + "bbox": [ + 166, + 440, + 1471, + 482 + ] + }, + { + "text": "Stock on Hand $41,696.06", + "bbox": [ + 167, + 494, + 1472, + 536 + ] + }, + { + "text": "Fixed Assets $330,286.97", + "bbox": [ + 167, + 547, + 1472, + 589 + ] + }, + { + "text": "Vendor Liabilities $66,224.62", + "bbox": [ + 168, + 600, + 1473, + 643 + ] + }, + { + "text": "Debt Obligations $215,001.70", + "bbox": [ + 168, + 654, + 1474, + 696 + ] + }, + { + "text": "Shareholder Equity $192,691.29", + "bbox": [ + 169, + 707, + 1474, + 749 + ] + }, + { + "text": "Sales Income $309,319.43", + "bbox": [ + 169, + 761, + 1475, + 803 + ] + }, + { + "text": "Personnel Costs $156,469.78", + "bbox": [ + 170, + 814, + 1475, + 856 + ] + }, + { + "text": "Facility Expenses $21,705.70", + "bbox": [ + 170, + 868, + 1476, + 910 + ] + }, + { + "text": "Net Balance $1,489,982.19", + "bbox": [ + 254, + 923, + 1476, + 964 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/948/948_pdf.json b/new_type_trial_balance/948/948_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..00bae689d2ebf7024b9b87bdc82fb0317df1a822 --- /dev/null +++ b/new_type_trial_balance/948/948_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_948.pdf", + "labels": [ + { + "text": "Morales-Cox", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 157.20866325, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Liquid Assets $84,340.32", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.5734077499999, + 152.40670650000004 + ] + }, + { + "text": "Outstanding Receivables $72,246.32", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock on Hand $41,696.06", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.5734077499999, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $330,286.97", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Vendor Liabilities $66,224.62", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Debt Obligations $215,001.70", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Shareholder Equity $192,691.29", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Sales Income $309,319.43", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Personnel Costs $156,469.78", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.571808, + 306.25045650000004 + ] + }, + { + "text": "Facility Expenses $21,705.70", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Net Balance $1,489,982.19", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/981/981.json b/new_type_trial_balance/981/981.json new file mode 100644 index 0000000000000000000000000000000000000000..74a890c5a5b8ed46b9885e5233d03374e7e9a509 --- /dev/null +++ b/new_type_trial_balance/981/981.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_981.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Snyder, Smith and Martin", + "bbox_px": [ + 186.91, + 170.6, + 712.63, + 221.4 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $58,870.62", + "bbox_px": [ + 184.22, + 385.49, + 1489.72, + 432.18 + ] + }, + { + "text": "Trade Receivables $63,249.82", + "bbox_px": [ + 183.5, + 438.9, + 1489.0, + 485.59 + ] + }, + { + "text": "Stock of Goods $101,106.22", + "bbox_px": [ + 182.79, + 492.31, + 1488.28, + 539.01 + ] + }, + { + "text": "Fixed Assets $445,790.39", + "bbox_px": [ + 182.07, + 545.73, + 1487.56, + 592.42 + ] + }, + { + "text": "Trade Payables $35,372.54", + "bbox_px": [ + 181.35, + 599.14, + 1486.85, + 645.83 + ] + }, + { + "text": "Borrowings $162,263.32", + "bbox_px": [ + 180.63, + 652.55, + 1486.13, + 699.25 + ] + }, + { + "text": "Share Capital $341,476.75", + "bbox_px": [ + 179.92, + 705.97, + 1485.41, + 752.66 + ] + }, + { + "text": "Sales $526,309.59", + "bbox_px": [ + 179.2, + 759.38, + 1484.69, + 806.07 + ] + }, + { + "text": "Compensation Expense $160,000.01", + "bbox_px": [ + 178.48, + 812.79, + 1483.97, + 859.49 + ] + }, + { + "text": "Lease and Facility Costs $48,670.33", + "bbox_px": [ + 177.76, + 866.21, + 1483.26, + 912.9 + ] + }, + { + "text": "Adjusted Total $1,943,109.59", + "bbox_px": [ + 260.34, + 922.82, + 1482.51, + 968.4 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/981/981.pdf b/new_type_trial_balance/981/981.pdf new file mode 100644 index 0000000000000000000000000000000000000000..b0145188063859ce9582f2e1adface35b624d6ea Binary files /dev/null and b/new_type_trial_balance/981/981.pdf differ diff --git a/new_type_trial_balance/981/981.xlsx b/new_type_trial_balance/981/981.xlsx new file mode 100644 index 0000000000000000000000000000000000000000..ebef5dfd14e54e44671a74b3d547b1a4c1082b72 Binary files /dev/null and b/new_type_trial_balance/981/981.xlsx differ diff --git a/new_type_trial_balance/981/981_dirty_1.json b/new_type_trial_balance/981/981_dirty_1.json new file mode 100644 index 0000000000000000000000000000000000000000..d3107452e660d0b12da16fd60f13ee1717a6b1da --- /dev/null +++ b/new_type_trial_balance/981/981_dirty_1.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_981_dirty_1.png", + "labels": [ + { + "text": "Snyder, Smith and Martin", + "bbox": [ + 155, + 183, + 681, + 237 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $58,870.62", + "bbox": [ + 159, + 382, + 1465, + 435 + ] + }, + { + "text": "Trade Receivables $63,249.82", + "bbox": [ + 160, + 435, + 1466, + 488 + ] + }, + { + "text": "Stock of Goods $101,106.22", + "bbox": [ + 161, + 489, + 1467, + 542 + ] + }, + { + "text": "Fixed Assets $445,790.39", + "bbox": [ + 162, + 542, + 1468, + 595 + ] + }, + { + "text": "Trade Payables $35,372.54", + "bbox": [ + 163, + 595, + 1469, + 649 + ] + }, + { + "text": "Borrowings $162,263.32", + "bbox": [ + 164, + 649, + 1470, + 702 + ] + }, + { + "text": "Share Capital $341,476.75", + "bbox": [ + 165, + 702, + 1471, + 755 + ] + }, + { + "text": "Sales $526,309.59", + "bbox": [ + 166, + 756, + 1472, + 809 + ] + }, + { + "text": "Compensation Expense $160,000.01", + "bbox": [ + 167, + 809, + 1473, + 862 + ] + }, + { + "text": "Lease and Facility Costs $48,670.33", + "bbox": [ + 168, + 863, + 1474, + 916 + ] + }, + { + "text": "Adjusted Total $1,943,109.59", + "bbox": [ + 252, + 918, + 1475, + 969 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/981/981_dirty_2.json b/new_type_trial_balance/981/981_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..92fd57cea795018a23daaf66199c2f1fad6b00d9 --- /dev/null +++ b/new_type_trial_balance/981/981_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_981_dirty_2.png", + "labels": [ + { + "text": "Snyder, Smith and Martin", + "bbox": [ + 190, + 167, + 716, + 220 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $58,870.62", + "bbox": [ + 187, + 382, + 1492, + 434 + ] + }, + { + "text": "Trade Receivables $63,249.82", + "bbox": [ + 186, + 435, + 1491, + 487 + ] + }, + { + "text": "Stock of Goods $101,106.22", + "bbox": [ + 185, + 489, + 1490, + 541 + ] + }, + { + "text": "Fixed Assets $445,790.39", + "bbox": [ + 184, + 542, + 1489, + 594 + ] + }, + { + "text": "Trade Payables $35,372.54", + "bbox": [ + 183, + 595, + 1488, + 648 + ] + }, + { + "text": "Borrowings $162,263.32", + "bbox": [ + 182, + 649, + 1487, + 701 + ] + }, + { + "text": "Share Capital $341,476.75", + "bbox": [ + 181, + 702, + 1486, + 754 + ] + }, + { + "text": "Sales $526,309.59", + "bbox": [ + 180, + 756, + 1485, + 808 + ] + }, + { + "text": "Compensation Expense $160,000.01", + "bbox": [ + 179, + 809, + 1485, + 861 + ] + }, + { + "text": "Lease and Facility Costs $48,670.33", + "bbox": [ + 178, + 863, + 1484, + 915 + ] + }, + { + "text": "Adjusted Total $1,943,109.59", + "bbox": [ + 260, + 919, + 1483, + 970 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/981/981_dirty_3.json b/new_type_trial_balance/981/981_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..14538fecf79b8a2456abedfce3c033739038591f --- /dev/null +++ b/new_type_trial_balance/981/981_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_981_dirty_3.png", + "labels": [ + { + "text": "Snyder, Smith and Martin", + "bbox": [ + 175, + 177, + 700, + 222 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $58,870.62", + "bbox": [ + 175, + 392, + 1480, + 424 + ] + }, + { + "text": "Trade Receivables $63,249.82", + "bbox": [ + 175, + 445, + 1480, + 477 + ] + }, + { + "text": "Stock of Goods $101,106.22", + "bbox": [ + 175, + 499, + 1480, + 531 + ] + }, + { + "text": "Fixed Assets $445,790.39", + "bbox": [ + 175, + 552, + 1480, + 584 + ] + }, + { + "text": "Trade Payables $35,372.54", + "bbox": [ + 175, + 605, + 1480, + 638 + ] + }, + { + "text": "Borrowings $162,263.32", + "bbox": [ + 174, + 659, + 1479, + 691 + ] + }, + { + "text": "Share Capital $341,476.75", + "bbox": [ + 174, + 712, + 1479, + 744 + ] + }, + { + "text": "Sales $526,309.59", + "bbox": [ + 174, + 766, + 1479, + 798 + ] + }, + { + "text": "Compensation Expense $160,000.01", + "bbox": [ + 174, + 819, + 1479, + 851 + ] + }, + { + "text": "Lease and Facility Costs $48,670.33", + "bbox": [ + 174, + 873, + 1479, + 905 + ] + }, + { + "text": "Adjusted Total $1,943,109.59", + "bbox": [ + 257, + 928, + 1479, + 960 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/981/981_dirty_4.json b/new_type_trial_balance/981/981_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..f681415419f7b512c15141b4cb1bba5925ed4061 --- /dev/null +++ b/new_type_trial_balance/981/981_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_981_dirty_4.png", + "labels": [ + { + "text": "Snyder, Smith and Martin", + "bbox": [ + 187, + 169, + 713, + 221 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $58,870.62", + "bbox": [ + 184, + 384, + 1489, + 432 + ] + }, + { + "text": "Trade Receivables $63,249.82", + "bbox": [ + 183, + 437, + 1489, + 485 + ] + }, + { + "text": "Stock of Goods $101,106.22", + "bbox": [ + 183, + 491, + 1488, + 539 + ] + }, + { + "text": "Fixed Assets $445,790.39", + "bbox": [ + 182, + 544, + 1487, + 592 + ] + }, + { + "text": "Trade Payables $35,372.54", + "bbox": [ + 181, + 597, + 1486, + 646 + ] + }, + { + "text": "Borrowings $162,263.32", + "bbox": [ + 180, + 651, + 1486, + 699 + ] + }, + { + "text": "Share Capital $341,476.75", + "bbox": [ + 180, + 704, + 1485, + 752 + ] + }, + { + "text": "Sales $526,309.59", + "bbox": [ + 179, + 758, + 1484, + 806 + ] + }, + { + "text": "Compensation Expense $160,000.01", + "bbox": [ + 178, + 811, + 1483, + 859 + ] + }, + { + "text": "Lease and Facility Costs $48,670.33", + "bbox": [ + 177, + 865, + 1483, + 913 + ] + }, + { + "text": "Adjusted Total $1,943,109.59", + "bbox": [ + 260, + 921, + 1482, + 968 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/981/981_dirty_5.json b/new_type_trial_balance/981/981_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..0a49e2a694d0658df6a1aa7db7333d041bde0d15 --- /dev/null +++ b/new_type_trial_balance/981/981_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_981_dirty_5.png", + "labels": [ + { + "text": "Snyder, Smith and Martin", + "bbox": [ + 154, + 181, + 680, + 236 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $58,870.62", + "bbox": [ + 158, + 381, + 1464, + 436 + ] + }, + { + "text": "Trade Receivables $63,249.82", + "bbox": [ + 159, + 434, + 1465, + 489 + ] + }, + { + "text": "Stock of Goods $101,106.22", + "bbox": [ + 160, + 488, + 1466, + 543 + ] + }, + { + "text": "Fixed Assets $445,790.39", + "bbox": [ + 161, + 541, + 1467, + 596 + ] + }, + { + "text": "Trade Payables $35,372.54", + "bbox": [ + 162, + 594, + 1468, + 650 + ] + }, + { + "text": "Borrowings $162,263.32", + "bbox": [ + 164, + 648, + 1469, + 703 + ] + }, + { + "text": "Share Capital $341,476.75", + "bbox": [ + 165, + 701, + 1470, + 756 + ] + }, + { + "text": "Sales $526,309.59", + "bbox": [ + 166, + 755, + 1471, + 810 + ] + }, + { + "text": "Compensation Expense $160,000.01", + "bbox": [ + 167, + 808, + 1472, + 863 + ] + }, + { + "text": "Lease and Facility Costs $48,670.33", + "bbox": [ + 168, + 862, + 1473, + 917 + ] + }, + { + "text": "Adjusted Total $1,943,109.59", + "bbox": [ + 252, + 917, + 1474, + 970 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/981/981_pdf.json b/new_type_trial_balance/981/981_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..67dc6ef8d4b27462c7e0e0adea3cdc04007f9c69 --- /dev/null +++ b/new_type_trial_balance/981/981_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_981.pdf", + "labels": [ + { + "text": "Snyder, Smith and Martin", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 251.75591325, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $58,870.62", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.5734077499999, + 152.40670650000004 + ] + }, + { + "text": "Trade Receivables $63,249.82", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock of Goods $101,106.22", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.571808, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $445,790.39", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Trade Payables $35,372.54", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Borrowings $162,263.32", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.571808, + 248.55905025000004 + ] + }, + { + "text": "Share Capital $341,476.75", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Sales $526,309.59", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Compensation Expense $160,000.01", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.571808, + 306.25045650000004 + ] + }, + { + "text": "Lease and Facility Costs $48,670.33", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Adjusted Total $1,943,109.59", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/982/982.json b/new_type_trial_balance/982/982.json new file mode 100644 index 0000000000000000000000000000000000000000..0d5f0fa0954315551b80be1fa44a59c91e093395 --- /dev/null +++ b/new_type_trial_balance/982/982.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_982.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Washington, Campbell and Black", + "bbox_px": [ + 148.81, + 178.68, + 838.51, + 240.2 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $132,572.27", + "bbox_px": [ + 154.36, + 377.6, + 1459.9, + 440.46 + ] + }, + { + "text": "Outstanding Receivables $68,875.82", + "bbox_px": [ + 155.74, + 431.0, + 1461.28, + 493.86 + ] + }, + { + "text": "Stock on Hand $62,896.88", + "bbox_px": [ + 157.12, + 484.4, + 1462.66, + 547.26 + ] + }, + { + "text": "Fixed Assets $240,153.08", + "bbox_px": [ + 158.5, + 537.8, + 1464.03, + 600.66 + ] + }, + { + "text": "Outstanding Liabilities $62,604.45", + "bbox_px": [ + 159.88, + 591.2, + 1465.42, + 654.06 + ] + }, + { + "text": "Debts on Note $115,758.29", + "bbox_px": [ + 161.26, + 644.6, + 1466.83, + 707.46 + ] + }, + { + "text": "Equity Shares $215,706.80", + "bbox_px": [ + 162.64, + 698.0, + 1468.17, + 760.86 + ] + }, + { + "text": "Income $277,369.36", + "bbox_px": [ + 164.01, + 751.4, + 1469.55, + 814.26 + ] + }, + { + "text": "Compensation Costs $128,793.37", + "bbox_px": [ + 165.39, + 804.8, + 1470.93, + 867.66 + ] + }, + { + "text": "Lease and Service Charges $46,559.42", + "bbox_px": [ + 166.77, + 858.2, + 1472.31, + 921.06 + ] + }, + { + "text": "Net Adjusted Balance $1,351,289.74", + "bbox_px": [ + 251.51, + 913.68, + 1473.74, + 974.39 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/982/982.pdf 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Assets $132,572.27", + "bbox": [ + 164, + 385, + 1469, + 431 + ] + }, + { + "text": "Outstanding Receivables $68,875.82", + "bbox": [ + 165, + 438, + 1470, + 484 + ] + }, + { + "text": "Stock on Hand $62,896.88", + "bbox": [ + 165, + 492, + 1470, + 538 + ] + }, + { + "text": "Fixed Assets $240,153.08", + "bbox": [ + 166, + 545, + 1471, + 591 + ] + }, + { + "text": "Outstanding Liabilities $62,604.45", + "bbox": [ + 167, + 598, + 1472, + 645 + ] + }, + { + "text": "Debts on Note $115,758.29", + "bbox": [ + 167, + 652, + 1472, + 698 + ] + }, + { + "text": "Equity Shares $215,706.80", + "bbox": [ + 168, + 705, + 1473, + 751 + ] + }, + { + "text": "Income $277,369.36", + "bbox": [ + 169, + 759, + 1474, + 805 + ] + }, + { + "text": "Compensation Costs $128,793.37", + "bbox": [ + 169, + 812, + 1474, + 858 + ] + }, + { + "text": "Lease and Service Charges $46,559.42", + "bbox": [ + 170, + 866, + 1475, + 912 + ] + }, + { + "text": "Net Adjusted Balance $1,351,289.74", + "bbox": [ + 254, + 921, + 1476, + 966 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/982/982_dirty_2.json b/new_type_trial_balance/982/982_dirty_2.json new file mode 100644 index 0000000000000000000000000000000000000000..68f3fde5f6274bd5dee50af57d03657de8ea3ece --- /dev/null +++ b/new_type_trial_balance/982/982_dirty_2.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_982_dirty_2.png", + "labels": [ + { + "text": "Washington, Campbell and Black", + "bbox": [ + 175, + 176, + 864, + 222 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $132,572.27", + "bbox": [ + 175, + 392, + 1480, + 424 + ] + }, + { + "text": "Outstanding Receivables $68,875.82", + "bbox": [ + 175, + 445, + 1480, + 477 + ] + }, + { + "text": "Stock on Hand $62,896.88", + "bbox": [ + 175, + 499, + 1480, + 531 + ] + }, + { + "text": "Fixed Assets $240,153.08", + "bbox": [ + 174, + 552, + 1479, + 584 + ] + }, + { + "text": "Outstanding Liabilities $62,604.45", + "bbox": [ + 174, + 605, + 1479, + 638 + ] + }, + { + "text": "Debts on Note $115,758.29", + "bbox": [ + 174, + 659, + 1479, + 691 + ] + }, + { + "text": "Equity Shares $215,706.80", + "bbox": [ + 174, + 712, + 1479, + 744 + ] + }, + { + "text": "Income $277,369.36", + "bbox": [ + 174, + 766, + 1479, + 798 + ] + }, + { + "text": "Compensation Costs $128,793.37", + "bbox": [ + 174, + 819, + 1479, + 851 + ] + }, + { + "text": "Lease and Service Charges $46,559.42", + "bbox": [ + 174, + 873, + 1479, + 905 + ] + }, + { + "text": "Net Adjusted Balance $1,351,289.74", + "bbox": [ + 257, + 929, + 1479, + 960 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/982/982_dirty_3.json b/new_type_trial_balance/982/982_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..3912b3d39100976f4f1af243ef6c61f17116e40e --- /dev/null +++ b/new_type_trial_balance/982/982_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_982_dirty_3.png", + "labels": [ + { + "text": "Washington, Campbell and Black", + "bbox": [ + 192, + 165, + 882, + 222 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $132,572.27", + "bbox": [ + 188, + 381, + 1494, + 436 + ] + }, + { + "text": "Outstanding Receivables $68,875.82", + "bbox": [ + 187, + 434, + 1493, + 489 + ] + }, + { + "text": "Stock on Hand $62,896.88", + "bbox": [ + 186, + 488, + 1492, + 543 + ] + }, + { + "text": "Fixed Assets $240,153.08", + "bbox": [ + 185, + 541, + 1491, + 596 + ] + }, + { + "text": "Outstanding Liabilities $62,604.45", + "bbox": [ + 184, + 594, + 1490, + 650 + ] + }, + { + "text": "Debts on Note $115,758.29", + "bbox": [ + 183, + 648, + 1488, + 703 + ] + }, + { + "text": "Equity Shares $215,706.80", + "bbox": [ + 182, + 701, + 1487, + 755 + ] + }, + { + "text": "Income $277,369.36", + "bbox": [ + 181, + 755, + 1486, + 809 + ] + }, + { + "text": "Compensation Costs $128,793.37", + "bbox": [ + 180, + 808, + 1485, + 862 + ] + }, + { + "text": "Lease and Service Charges $46,559.42", + "bbox": [ + 179, + 862, + 1484, + 916 + ] + }, + { + "text": "Net Adjusted Balance $1,351,289.74", + "bbox": [ + 261, + 918, + 1483, + 971 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/982/982_dirty_4.json b/new_type_trial_balance/982/982_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..90c72d07170e7cbb709ca78a0af7409863a8e671 --- /dev/null +++ b/new_type_trial_balance/982/982_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_982_dirty_4.png", + "labels": [ + { + "text": "Washington, Campbell and Black", + "bbox": [ + 165, + 184, + 854, + 234 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $132,572.27", + "bbox": [ + 167, + 397, + 1472, + 437 + ] + }, + { + "text": "Outstanding Receivables $68,875.82", + "bbox": [ + 167, + 450, + 1473, + 490 + ] + }, + { + "text": "Stock on Hand $62,896.88", + "bbox": [ + 168, + 504, + 1473, + 544 + ] + }, + { + "text": "Fixed Assets $240,153.08", + "bbox": [ + 168, + 557, + 1474, + 597 + ] + }, + { + "text": "Outstanding Liabilities $62,604.45", + "bbox": [ + 169, + 610, + 1474, + 651 + ] + }, + { + "text": "Debts on Note $115,758.29", + "bbox": [ + 169, + 664, + 1474, + 704 + ] + }, + { + "text": "Equity Shares $215,706.80", + "bbox": [ + 170, + 717, + 1475, + 757 + ] + }, + { + "text": "Income $277,369.36", + "bbox": [ + 170, + 771, + 1475, + 811 + ] + }, + { + "text": "Compensation Costs $128,793.37", + "bbox": [ + 171, + 824, + 1476, + 864 + ] + }, + { + "text": "Lease and Service Charges $46,559.42", + "bbox": [ + 171, + 878, + 1476, + 918 + ] + }, + { + "text": "Net Adjusted Balance $1,351,289.74", + "bbox": [ + 254, + 933, + 1477, + 972 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/982/982_dirty_5.json b/new_type_trial_balance/982/982_dirty_5.json new file mode 100644 index 0000000000000000000000000000000000000000..f2257db72e70470e7f25bd5cb4ffe73f66193fd1 --- /dev/null +++ b/new_type_trial_balance/982/982_dirty_5.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_982_dirty_5.png", + "labels": [ + { + "text": "Washington, Campbell and Black", + "bbox": [ + 180, + 174, + 870, + 223 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $132,572.27", + "bbox": [ + 179, + 389, + 1484, + 427 + ] + }, + { + "text": "Outstanding Receivables $68,875.82", + "bbox": [ + 179, + 442, + 1484, + 480 + ] + }, + { + "text": "Stock on Hand $62,896.88", + "bbox": [ + 178, + 496, + 1483, + 534 + ] + }, + { + "text": "Fixed Assets $240,153.08", + "bbox": [ + 178, + 549, + 1483, + 587 + ] + }, + { + "text": "Outstanding Liabilities $62,604.45", + "bbox": [ + 177, + 602, + 1483, + 641 + ] + }, + { + "text": "Debts on Note $115,758.29", + "bbox": [ + 177, + 656, + 1482, + 694 + ] + }, + { + "text": "Equity Shares $215,706.80", + "bbox": [ + 177, + 709, + 1482, + 747 + ] + }, + { + "text": "Income $277,369.36", + "bbox": [ + 176, + 763, + 1481, + 801 + ] + }, + { + "text": "Compensation Costs $128,793.37", + "bbox": [ + 176, + 816, + 1481, + 854 + ] + }, + { + "text": "Lease and Service Charges $46,559.42", + "bbox": [ + 175, + 870, + 1481, + 908 + ] + }, + { + "text": "Net Adjusted Balance $1,351,289.74", + "bbox": [ + 258, + 925, + 1480, + 963 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/982/982_pdf.json b/new_type_trial_balance/982/982_pdf.json new file mode 100644 index 0000000000000000000000000000000000000000..6fe8a546f4530845a1bc546e51ef99155ead43f4 --- /dev/null +++ b/new_type_trial_balance/982/982_pdf.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_982.pdf", + "labels": [ + { + "text": "Washington, Campbell and Black", + "bbox": [ + 62.692913250000004, + 64.53996974999995, + 310.66091324999996, + 80.28996975000007 + ] + } + ], + "values": [ + { + "text": "Cash and Liquid Assets $132,572.27", + "bbox": [ + 62.692913250000004, + 141.90670650000004, + 532.571808, + 152.40670650000004 + ] + }, + { + "text": "Outstanding Receivables $68,875.82", + "bbox": [ + 62.692913250000004, + 161.13717525000004, + 532.5734077499999, + 171.63717525000004 + ] + }, + { + "text": "Stock on Hand $62,896.88", + "bbox": [ + 62.692913250000004, + 180.36764400000004, + 532.5734077499999, + 190.86764400000004 + ] + }, + { + "text": "Fixed Assets $240,153.08", + "bbox": [ + 62.692913250000004, + 199.59811275000004, + 532.571808, + 210.09811275000004 + ] + }, + { + "text": "Outstanding Liabilities $62,604.45", + "bbox": [ + 62.692913250000004, + 218.82858150000004, + 532.5734077499999, + 229.32858150000004 + ] + }, + { + "text": "Debts on Note $115,758.29", + "bbox": [ + 62.692913250000004, + 238.05905025000004, + 532.58460525, + 248.55905025000004 + ] + }, + { + "text": "Equity Shares $215,706.80", + "bbox": [ + 62.692913250000004, + 257.28951900000004, + 532.571808, + 267.78951900000004 + ] + }, + { + "text": "Income $277,369.36", + "bbox": [ + 62.692913250000004, + 276.51998775000004, + 532.571808, + 287.01998775000004 + ] + }, + { + "text": "Compensation Costs $128,793.37", + "bbox": [ + 62.692913250000004, + 295.75045650000004, + 532.571808, + 306.25045650000004 + ] + }, + { + "text": "Lease and Service Charges $46,559.42", + "bbox": [ + 62.692913250000004, + 314.98092525000004, + 532.5734077499999, + 325.48092525000004 + ] + }, + { + "text": "Net Adjusted Balance $1,351,289.74", + "bbox": [ + 92.69291325, + 334.96139400000004, + 532.5719722499999, + 345.46139400000004 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/985/985.json b/new_type_trial_balance/985/985.json new file mode 100644 index 0000000000000000000000000000000000000000..645fd5159ff7d3ad8da184338559e2c7cbcc0de0 --- /dev/null +++ b/new_type_trial_balance/985/985.json @@ -0,0 +1,117 @@ +{ + "img_file": "new_type_trial_balance_985.png", + "img_width": 1654, + "img_height": 2339, + "labels": [ + { + "text": "Morris, Krueger and Taylor", + "bbox_px": [ + 167.41, + 179.96, + 723.63, + 227.5 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $127,085.58", + "bbox_px": [ + 168.87, + 389.75, + 1474.26, + 427.82 + ] + }, + { + "text": "Trade Receivables $73,933.54", + "bbox_px": [ + 169.24, + 443.17, + 1474.63, + 481.24 + ] + }, + { + "text": "Stock on Hand $69,859.25", + "bbox_px": [ + 169.6, + 496.58, + 1475.0, + 534.66 + ] + }, + { + "text": "Fixed Assets $466,954.82", + "bbox_px": [ + 169.97, + 550.0, + 1475.36, + 588.07 + ] + }, + { + "text": "Trade Payables $27,188.82", + "bbox_px": [ + 170.33, + 603.42, + 1475.73, + 641.49 + ] + }, + { + "text": "Debts on Note $191,386.74", + "bbox_px": [ + 170.7, + 656.84, + 1476.09, + 694.91 + ] + }, + { + "text": "Ordinary Shares $170,945.84", + "bbox_px": [ + 171.06, + 710.25, + 1476.45, + 748.32 + ] + }, + { + "text": "Sales Revenue $441,399.40", + "bbox_px": [ + 171.43, + 763.67, + 1476.81, + 801.74 + ] + }, + { + "text": "Compensation Expense $161,868.02", + "bbox_px": [ 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at end of file diff --git a/new_type_trial_balance/985/985_dirty_3.json b/new_type_trial_balance/985/985_dirty_3.json new file mode 100644 index 0000000000000000000000000000000000000000..03306b7fe0c324edf0bed818bfce7ef0352bd667 --- /dev/null +++ b/new_type_trial_balance/985/985_dirty_3.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_985_dirty_3.png", + "labels": [ + { + "text": "Morris, Krueger and Taylor", + "bbox": [ + 178, + 176, + 734, + 222 + ] + } + ], + "values": [ + { + "text": "Cash and Short-Term Investments $127,085.58", + "bbox": [ + 177, + 391, + 1482, + 425 + ] + }, + { + "text": "Trade Receivables $73,933.54", + "bbox": [ + 176, + 444, + 1482, + 478 + ] + }, + { + "text": "Stock on Hand $69,859.25", + "bbox": [ + 176, + 498, + 1481, + 532 + ] + }, + { + "text": "Fixed Assets $466,954.82", + "bbox": [ + 176, + 551, + 1481, + 585 + ] + }, + { + "text": "Trade Payables $27,188.82", + "bbox": [ + 176, + 604, + 1481, + 639 + ] + }, + { + "text": "Debts on Note $191,386.74", + "bbox": [ + 176, + 658, + 1481, + 692 + ] + }, + { + "text": "Ordinary Shares $170,945.84", + "bbox": [ + 175, + 711, + 1480, + 745 + ] + }, + { + "text": "Sales Revenue $441,399.40", + "bbox": [ + 175, + 765, + 1480, + 799 + ] + }, + { + "text": "Compensation Expense $161,868.02", + "bbox": [ + 175, + 818, + 1480, + 852 + ] + }, + { + "text": "Lease and Service Charges $20,340.43", + "bbox": [ + 175, + 872, + 1480, + 906 + ] + }, + { + "text": "Net Adjusted Balance $1,750,962.44", + "bbox": [ + 257, + 927, + 1480, + 961 + ] + } + ] +} \ No newline at end of file diff --git a/new_type_trial_balance/985/985_dirty_4.json b/new_type_trial_balance/985/985_dirty_4.json new file mode 100644 index 0000000000000000000000000000000000000000..dba00d129a9d123369d8772cc80052fb63f7224b --- /dev/null +++ b/new_type_trial_balance/985/985_dirty_4.json @@ -0,0 +1,115 @@ +{ + "document": "new_type_trial_balance_985_dirty_4.png", + "labels": [ + { + "text": "Morris, Krueger and Taylor", + 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